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	<title>Forex Trading Tips &#187; forex trading tips</title>
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		<title>Specifications</title>
		<link>http://www.forextradingtips4u.com/specifications/</link>
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		<pubDate>Wed, 16 Dec 2009 13:59:18 +0000</pubDate>
		<dc:creator>Forex Trading Tips</dc:creator>
				<category><![CDATA[Forex Trading Tips and Strategies]]></category>
		<category><![CDATA[forex tips]]></category>
		<category><![CDATA[forex trading tips]]></category>

		<guid isPermaLink="false">http://www.forextradingtips4u.com/?p=495</guid>
		<description><![CDATA[1, moving average line The use of statistics to &#8220;moving average&#8221; principle, will be moving day average share price, find an average, be linked to obtain the average line. Second, the types of moving average: According to the length of time can be divided into: short-term moving average line, the medium-term moving average line, and [...]]]></description>
			<content:encoded><![CDATA[<p><span id="result_box"><span style="BACKGROUND-COLOR: #fff" title="一、移动平均线" onmouseover="this.style.backgroundColor='#ebeff9'" onmouseout="this.style.backgroundColor='#fff'">1, moving average line</p>
<p></span><span title="利用统计学上“移动平均”的原理，将每天股价予以移动平均计算，求出一个平均值，予以连接起来，取得平均线。" onmouseover="this.style.backgroundColor='#ebeff9'" onmouseout="this.style.backgroundColor='#fff'">The use of statistics to &#8220;moving average&#8221; principle, will be moving day average share price, find an average, be linked to obtain the average line.</p>
<p></span><span title="二、移动平均线的种类：" onmouseover="this.style.backgroundColor='#ebeff9'" onmouseout="this.style.backgroundColor='#fff'">Second, the types of moving average:</p>
<p></span><span style="BACKGROUND-COLOR: #fff" title="依时间长短可分为：短期移动平均线，中期移动平均线，及长期移动平均线。" onmouseover="this.style.backgroundColor='#ebeff9'" onmouseout="this.style.backgroundColor='#fff'">According to the length of time can be divided into: short-term moving average line, the medium-term moving average line, and long-term moving average line.</p>
<p></span><span title="（一）短期移动平均线：" onmouseover="this.style.backgroundColor='#ebeff9'" onmouseout="this.style.backgroundColor='#fff'">(A) short-term moving average line:</p>
<p></span><span style="BACKGROUND-COLOR: #fff" title="一般都以五天及十天为计算期间，代表一周的平均价，可做为短线进出的依据。" onmouseover="this.style.backgroundColor='#ebeff9'" onmouseout="this.style.backgroundColor='#fff'">Are generally in 5 days and 10 days for the calculation of the period, representing an average price of a week, can be used as the basis for short-term access.</p>
<p></span><span title="（二）中期移动平均线：" onmouseover="this.style.backgroundColor='#ebeff9'" onmouseout="this.style.backgroundColor='#fff'">(B) the medium-term moving average line:</p>
<p></span><span title="大多以三十日为准，称为月移动平均线，代表一个月的平均价或成本，亦有扣除四个星期日以二十六天来做月移动平均线。" onmouseover="this.style.backgroundColor='#ebeff9'" onmouseout="this.style.backgroundColor='#fff'">Mostly on the 30th subject, known as the month moving average, on behalf of one month&#8217;s average price or cost, there are four less to do on Sunday to 26 days moving average. </span><span title="另有七十二日移动平均线，俗称季线。" onmouseover="this.style.backgroundColor='#ebeff9'" onmouseout="this.style.backgroundColor='#fff'">Another Qishierri moving average line, commonly known as quarter-line. </span><span title="大致说来月移动平均线有效性极高，尤其在股市尚未十分明朗前，预先显示股价未来变动方向。" onmouseover="this.style.backgroundColor='#ebeff9'" onmouseout="this.style.backgroundColor='#fff'">Generally speaking, the effectiveness of a very high month moving average, particularly in the stock market is not yet quite clear in advance the show price changes in the direction of the future.</p>
<p></span><span title="（三）长期移动平均线：" onmouseover="this.style.backgroundColor='#ebeff9'" onmouseout="this.style.backgroundColor='#fff'">(C) Long-term moving average line:</p>
<p></span><span style="background-color: #fff;" title="在欧美股市技术分析所采用的长期移动平均线，多以二百天为准。" onmouseover="this.style.backgroundColor='#ebeff9'" onmouseout="this.style.backgroundColor='#fff'">In Europe and the United States stock market technical analysis used in the long-term moving average line, more than 200 days in order to prevail. </span><span title="因为经过美国投资专家葛南维，研究与试验移动平均线系统後，认为二百日移动平均线最具代表性，在国内则是超级大户，实户与做手操作股票时叁考的重要指标，投资" onmouseover="this.style.backgroundColor='#ebeff9'" onmouseout="this.style.backgroundColor='#fff'">Because after a U.S. investment expert Genan Wei, research and test moving average line system, considered the most representative of The co moving average, is a super-large in the country is really hand-operation of households and the stock later reference key indicators, investment </span><span style="BACKGROUND-COLOR: #fff" title="人将未来一年世界与国内经济景气动向，各行业的展望，股票发行公司产销状况与成长率仔细研究後，再与其他投资环境（例如银行利率变动，房地产增值比率，以及投资设厂报酬" onmouseover="this.style.backgroundColor='#ebeff9'" onmouseout="this.style.backgroundColor='#fff'">will in the coming year trends in the world and the domestic economy, the industry outlook, the stock issuing company&#8217;s growth rate of production and marketing conditions and, after careful study, and then with the other investment environment (such as bank interest rate changes, real estate value-added ratio, as well as investment returns to set up factories </span><span title="率）做一比较，若投资股票利润较高，则进行市场操作。" onmouseover="this.style.backgroundColor='#ebeff9'" onmouseout="this.style.backgroundColor='#fff'">rate) to do a comparison, if the more profitable investing in stocks, then conduct market operations. </span><span title="由於进出数量庞大，炒作期间长，必须要了解平均成本变动情形，故以此样本大小最能代表长期移动平均线。" onmouseover="this.style.backgroundColor='#ebeff9'" onmouseout="this.style.backgroundColor='#fff'">As the access to the large number of long period of speculation, we must understand the changes in the average cost of the case, so this sample size, can best represent the long-term moving average line.</p>
<p></span><span title="（四）移动平均线的特性：" onmouseover="this.style.backgroundColor='#ebeff9'" onmouseout="this.style.backgroundColor='#fff'">(D) moving average of the features:</p>
<p></span><span title="股价技术分析者，利用移动平均线来分析股价动向，主要因为移动平均线具有几项特性：" onmouseover="this.style.backgroundColor='#ebeff9'" onmouseout="this.style.backgroundColor='#fff'">Stock technical analysis were used to analyze the stock price moving average trends, mainly due to the moving average line has several characteristics:</p>
<p></span><span title="1.趋势的特性：移动平均线能够表示股价趋势的方向，所以具有趋势的性质。" onmouseover="this.style.backgroundColor='#ebeff9'" onmouseout="this.style.backgroundColor='#fff'">1. Trends features: moving average trend in the direction of stock prices can be expressed and therefore have a tendency in nature.</p>
<p></span><span style="BACKGROUND-COLOR: #fff" title="2.稳重的特性：移动平均线不像日线会起起落落的震荡。" onmouseover="this.style.backgroundColor='#ebeff9'" onmouseout="this.style.backgroundColor='#fff'">2. Prudent characteristics: unlike the day moving average line will be ups and downs of the shock. </span><span title="而是起落相当平稳。" onmouseover="this.style.backgroundColor='#ebeff9'" onmouseout="this.style.backgroundColor='#fff'">Ups and downs but fairly steady. </span><span title="向上的通常缓缓向上，向下的通常会缓缓向下。" onmouseover="this.style.backgroundColor='#ebeff9'" onmouseout="this.style.backgroundColor='#fff'">The usual upward slowly upward, downward usually slowly downward.</p>
<p></span><span style="BACKGROUND-COLOR: #fff" title="3.安定的特性：通常愈长期的移动平均线，愈能表现安定的特性，即移动平均线不轻易往上往下，必须股价涨势真正明朗了，移动平均线才会往上延伸，而且" onmouseover="this.style.backgroundColor='#ebeff9'" onmouseout="this.style.backgroundColor='#fff'">3. And stability characteristics: often the more long-term moving average line, the better it will show the characteristics of stability, that is not easily moving average line up down, stock prices must be really clear, and moving average line will extend up and </span><span style="BACKGROUND-COLOR: #fff" title="经常股价开始回落之初，移动平均线却是向上的，等到股价下滑显着时，才见移动平均线走下坡，这是移动平均线最大的特色。" onmouseover="this.style.backgroundColor='#ebeff9'" onmouseout="this.style.backgroundColor='#fff'">Regular price began to fall at the beginning, moving average is up, until a significant decline in stock prices only when they see the moving average decline, which is most important feature of the moving average line. </span><span style="BACKGROUND-COLOR: #fff" title="愈短期的移动平均线，安定性愈差，愈长期移动平均线，安定性愈强，但也因此使得移动平均线有延迟反应的特性。" onmouseover="this.style.backgroundColor='#ebeff9'" onmouseout="this.style.backgroundColor='#fff'">The more short-term moving average line, stability worse, the more long-term moving average line, the stronger stability, but also which makes moving average line of the delayed response characteristics.</p>
<p> </p>
<p></span><span style="BACKGROUND-COLOR: #fff" title="4.助涨的特性：股价从平均线下方向上突破，平均线也开始向右上方移动，可以看做是多头支撑线，股价回跌至平均线附近，自然会产生支撑力量，短期平均线向上移动" onmouseover="this.style.backgroundColor='#ebeff9'" onmouseout="this.style.backgroundColor='#fff'">4. Fueled features: share price up from an average line break below the average line has begun to move the upper right can be seen as a bullish support line, the stock fell back to average in the vicinity, it will naturally produce the strongest support for the short-term moving average line up </span><span title="速度较快，中长期平均线回上移动速度较慢，但都表示一定期间内平均成本增加，卖方力量若稍强於买方，股价回跌至平均线附近，便是买进时机，这是平均线" onmouseover="this.style.backgroundColor='#ebeff9'" onmouseout="this.style.backgroundColor='#fff'">fast, medium and long term moving average line back to the slower, but they all indicated that the average cost within a certain period increased slightly stronger than the buyer if the seller&#8217;s strength, the stock fell back to near the average, that is to buy time, which is the average line of </span><span style="BACKGROUND-COLOR: #fff" title="的助涨功效，直到股价上升缓慢或回跌，平均线开始减速移动，股价再回至平均线附近，平均线失去助涨效能，将有重返平均线下方的趋势，最好不要买进。" onmouseover="this.style.backgroundColor='#ebeff9'" onmouseout="this.style.backgroundColor='#fff'">The fueled the effect, until the stock price rose or fell back slowly, with an average line began to slow moving, the share price to return to average near the average loss fueled the performance, there will be return to the trend of below average, it is best not to buy.</p>
<p></span><span title="5.助跌的特性：反过来说，股价从平均线上方向下突破，平均线也开始向右下方移动，成为空头阻力线，股价回升至平均线附近，自然产生阻力，因此平均线往下" onmouseover="this.style.backgroundColor='#ebeff9'" onmouseout="this.style.backgroundColor='#fff'">5. To help or characteristics: the other hand, under the direction of stock prices from an average line break, the average line has begun to move the lower right, becoming short resistance, the share price back up to average near naturally occurring resistance, the average line down </span><span title="走时股价回升至平均线附近便是卖出时机，平均线此时有助跌作用。" onmouseover="this.style.backgroundColor='#ebeff9'" onmouseout="this.style.backgroundColor='#fff'">go to the average rebound in the stock is selling near the time, the average line at this time will help down the role. </span><span style="BACKGROUND-COLOR: #fff" title="直到股价下跌缓慢或回升，平均线开始减速移动，股价若再与平均线接近，平均线便失去助跌意义，将有重返平均线上方的趋向，不需急於卖出。" onmouseover="this.style.backgroundColor='#ebeff9'" onmouseout="this.style.backgroundColor='#fff'">Until it fell slow or rebound, with an average line started slow moving stock Ruozai with the average closer to the average line will be lost meaning to help or there will be return to the trend of the average line-side, without a hurry to sell.</p>
<p></span><span title="三、移动平均线的研判技巧：" onmouseover="this.style.backgroundColor='#ebeff9'" onmouseout="this.style.backgroundColor='#fff'">Third, moving average of the judgments techniques:</p>
<p></span><span title="葛南碧移动平均线八大法则：" onmouseover="this.style.backgroundColor='#ebeff9'" onmouseout="this.style.backgroundColor='#fff'">Genan Bi moving average eight rules:</p>
<p></span><span title="（一）移动平均线的买进时机" onmouseover="this.style.backgroundColor='#ebeff9'" onmouseout="this.style.backgroundColor='#fff'">(A) the moving average line to buy time to</p>
<p></span><span title="1.平均线从下降逐渐走平，而股价从平均线的下方突破平均线时，是买进信号。" onmouseover="this.style.backgroundColor='#ebeff9'" onmouseout="this.style.backgroundColor='#fff'">1. Average fell gradually away from the flat, while the average share price below the break from the average line, is a buy signal.</p>
<p></span><span title="2.股价虽跌入平均线下，而均价线仍在上扬，不久又回复到平均线上时，为买进信号。" onmouseover="this.style.backgroundColor='#ebeff9'" onmouseout="this.style.backgroundColor='#fff'">2. Shares fall into the average, although the line, while the average line is still up, and soon reverted to the average online time for the buy signal.</p>
<p></span><span style="BACKGROUND-COLOR: #fff" title="3.股价趋势线走在平均线之上，股价突然下跌，但未跌破平均线，股价又上升时，可以加码买进。" onmouseover="this.style.backgroundColor='#ebeff9'" onmouseout="this.style.backgroundColor='#fff'">3. Stock trend line to go above the line on average, stock prices suddenly dropped, but not below average, the stock rose again, you can buying the.</p>
<p></span><span style="BACKGROUND-COLOR: #fff" title="4.股价趋势线低过平均线，突然暴跌，远离平均线时之时，极可能再趋向平均线，是买进时机。" onmouseover="this.style.backgroundColor='#ebeff9'" onmouseout="this.style.backgroundColor='#fff'">4. Shares of the trend line below the average line, a sudden collapse, away from the average time when the trend is very likely to be average is to buy time.</p>
<p></span><span title="（二）移动平均线的卖出时机：" onmouseover="this.style.backgroundColor='#ebeff9'" onmouseout="this.style.backgroundColor='#fff'">(B) moving average line, time to sell:</p>
<p></span><span title="5.平均线走势从上升逐渐走平，而股价从平均线的上方往下跌破平均线时，应是卖出的机会。" onmouseover="this.style.backgroundColor='#ebeff9'" onmouseout="this.style.backgroundColor='#fff'">5. Average rose gradually away from the flat trend, while the stock price down from an average of the top of the line below the average line, should be a selling opportunity.</p>
<p></span><span style="BACKGROUND-COLOR: #fff" title="6.股价虽上升突破平均线，但又立刻回复到平均线之下，而且平均线仍然继续下跌时，是卖出时机。" onmouseover="this.style.backgroundColor='#ebeff9'" onmouseout="this.style.backgroundColor='#fff'">6. Stock up while the average break-line, but immediately revert to the below average, and average continues to fall it is time to sell.</p>
<p></span><span style="BACKGROUND-COLOR: #fff" title="7.股价趋势线在平均线之下，股价上升但未达平均线又告回落，是卖出时机。" onmouseover="this.style.backgroundColor='#ebeff9'" onmouseout="this.style.backgroundColor='#fff'">7. Shares below the trend line in the average share price rose, but again, fallen below the average it is time to sell.</p>
<p></span><span style="BACKGROUND-COLOR: #fff" title="8.股价趋势线在上升中，且走在平均线之上，突然暴涨、远离平均线，很可能再趋向平均线，" onmouseover="this.style.backgroundColor='#ebeff9'" onmouseout="this.style.backgroundColor='#fff'">8. Shares rising trend line, and walking in the average above the line, suddenly soared away from the average is likely to be the average trend line,<br />
</span><span title="为卖出时机" onmouseover="this.style.backgroundColor='#ebeff9'" onmouseout="this.style.backgroundColor='#fff'">For the time to sell<br />
</span></span></p>
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		<title>Informality in the space-time investment &#8211; Forex Trading</title>
		<link>http://www.forextradingtips4u.com/informality-in-the-space-time-investment-forex-trading/</link>
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		<pubDate>Tue, 08 Dec 2009 02:25:38 +0000</pubDate>
		<dc:creator>Forex Trading Tips</dc:creator>
				<category><![CDATA[Forex Trading Tips and Strategies]]></category>
		<category><![CDATA[forex trading tips]]></category>
		<category><![CDATA[investment]]></category>

		<guid isPermaLink="false">http://www.forextradingtips4u.com/?p=489</guid>
		<description><![CDATA[The foreign exchange market has no fixed place of trading, there is no market City: Unlike the stock exchange are centralized locations, foreign exchange trading through banks, enterprises and individuals between the start of electronic currency trading online. A large number of participants per day, including national government or central bank, commercial banks, other financial [...]]]></description>
			<content:encoded><![CDATA[<p>The foreign exchange market has no fixed place of trading, there is no market City: Unlike the stock exchange are centralized locations, foreign exchange trading through banks, enterprises and individuals between the start of electronic currency trading online. A large number of participants per day, including national government or central bank, commercial banks, other financial institutions, corporations and other businesses and individual customers will be in this market transactions, the daily turnover of up to 1.9 trillion U.S. dollars.</p>
<p>The world&#8217;s major financial centers including London, New York, Tokyo and Sydney, when these financial center banks and other financial institutions, when opening foreign exchange trading volume increased accordingly, thus forming the North American market, the Asian market, European market and the Australian market. With the stock market, these markets opening and closing time in a relative sense, mainly to work and rest time for each market as a reference. Generally, each market from 8 am to 5 pm, trading is relatively active turnover rate as well. This time, including by the weekend, trading activity is still underway, but tends to dull. The time difference between these markets, just to connect into a 24-hour continuous operation of the global foreign exchange market.</p>
<p>The United States Eastern Standard Time prevail at around 6:00 pm Sydney, Australia, began to actively market transactions, foreign exchange market, the curtain opened; 20:00 or so, the Tokyo market start-up; 3:00 or so, the United Kingdom the London market regained consciousness; 8 am points around the United States to join the New York market.</p>
<p>In addition, subject to various market itself in the international economic environment, the financial position of influence in their daily movements of the market has shown a different character.</p>
<p>Australian market, the Asian market volatility of the stock market are mostly small, often the previous trading day and carry out rectification of the stock market regulator, major news in general small, only Japan and Australia will have important economic and press releases. But if the weekend there have been significant political or other aspects of the event, Monday will be the first to be reflected in the trend in the Asian market.</p>
<p>To the European market opened, the market trading activity, gradually increased, the European Union, the United Kingdom and other major economies, the gradual economic data have an impact on the market, the market often in the day Quote of the start-up phase. In the European market, the currency gradually from the Asian market turbulence out of the pattern, start a new day to prepare for the outbreak of Quotes, sometimes leading the trend in North America Quotes.</p>
<p>The North American market is often the most active day trading period. Particularly in North America early, because this time the London market is still in operation, the equivalent of two turnover in the market. Then tend to lead to greater volatility, that is, the outbreak of the day Quotes stage. Moreover, the average American&#8217;s key economic data is in the United States at around 8:30 am Eastern time announcement. Historically, statistics show that more than 80% of the days of major fluctuations arising from the North American market, where it is essential that an hour after opening in North America, which determines the operating throughout North America set the tone, our analysis to determine Quotes of the time, also need to special attention to North America, opened the first hour of operation.</p>
<p>In such a 24-hour uninterrupted operation of the foreign exchange market has become a day and night market. It is this continuous operation to provide investors with no barriers of time and space an ideal place for investment, investors can find the most suitable time to conduct transactions.</p>
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		<title>ActivTrades now a member of ZuluTrade`s Broker portfolio</title>
		<link>http://www.forextradingtips4u.com/activtrades-now-a-member-of-zulutrades-broker-portfolio/</link>
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		<pubDate>Mon, 31 Aug 2009 23:32:30 +0000</pubDate>
		<dc:creator>Forex Trading Tips</dc:creator>
				<category><![CDATA[Forex Trading Tips and Strategies]]></category>
		<category><![CDATA[forex trading tips]]></category>
		<category><![CDATA[zulutrade]]></category>

		<guid isPermaLink="false">http://www.forextradingtips4u.com/?p=383</guid>
		<description><![CDATA[NEW BROKER: ACTIVTRADES ActivTrades joins ZuluTrade’s Broker portfolio with an offer!   Dear xinping jiang: The optimal way to execute your FOREX transactions is here! ZuluTrade’s rich and diversified broker portfolio now features a new and prominent member: ActivTrades, has joined the wide-ranging and ever growing list of Brokers that endorse our Forex trading platform! [...]]]></description>
			<content:encoded><![CDATA[<p>NEW BROKER: ACTIVTRADES<br />
ActivTrades joins ZuluTrade’s Broker portfolio with an offer!<br />
 <br />
Dear xinping jiang:<br />
The optimal way to execute your FOREX transactions is here!<br />
ZuluTrade’s rich and diversified broker portfolio now features a new and prominent member: ActivTrades, has joined the wide-ranging and ever growing list of Brokers that endorse our Forex trading platform!<br />
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		<title>Foreign exchange margin trading of the most important thing of the Department</title>
		<link>http://www.forextradingtips4u.com/foreign-exchange-margin-trading-of-the-most-important-thing-of-the-department/</link>
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		<pubDate>Tue, 25 Aug 2009 09:11:31 +0000</pubDate>
		<dc:creator>Forex Trading Tips</dc:creator>
				<category><![CDATA[Forex Trading Tips and Strategies]]></category>
		<category><![CDATA[forex trading tips]]></category>

		<guid isPermaLink="false">http://www.forextradingtips4u.com/?p=380</guid>
		<description><![CDATA[Trading psychology is very important to many people the root causes of loss attributed to: poor mentality. Simulation trading is generally easy to secure a firm offer can be once you start trading situation would be quite different. Loss followed to see if the right did not do, do not hold, a mistake was made, [...]]]></description>
			<content:encoded><![CDATA[<p>Trading psychology is very important to many people the root causes of loss attributed to: poor mentality. Simulation trading is generally easy to secure a firm offer can be once you start trading situation would be quite different. Loss followed to see if the right did not do, do not hold, a mistake was made, it did not just stop because of hesitation, but, when the approach appeared afraid, with a total fear of the wrong and so on and so forth are numerous, all these are related to transactions related to state of mind! Mentality is whether the transactions are ultimately the key to effective implementation can be said that you have to do all the efforts around the exchanges eventually need a good mind to implement, can stop in time, can make the profit growth will also depend on the full state of mind! To maintain good trading mentality is every investor pursuit of the goal, I think that should do the following aspects: one, a good money management is the foundation 2, the correct understanding of loss is the key 3, pegged to the stop-loss, without regard to profit about the measures.</p>
<p>First, fund management</p>
<p>Good money management is to maintain a stable basis for trading mentality. Investors hold large positions Crimping shoulders the burden as a pedestrian, a slight obstacle on the road is enough to make it fall. The fundamental reason is that his position for him, has become a burden beyond his endurance. So why do investors beyond the scope of his ability to do transactions? Because of the desire of profit it can not correctly judge himself, he has plunged into the trap of being profitable. Lured by the aura of profit, he has seen a loss of trap. Trap losses are generally in the dark, but profits shine, as investors entering large positions later, he will immediately find the trap full of loss, desire to approach the good moments before being crushed by market fluctuations, he will find that the market was far from gentle as he had imagined at this time, profitability has become the desire of his disaster, a large number of positions has become a huge burden on fund management, caused by improper exposure to the mentality of problems began.</p>
<p>I personally believe that good financial management should pay attention to three points: one, the market spent most of the disastrous situation. When the market is catastrophic situations, such as circuit breakers Quotes to running the way, your loss is not enough to affect your financial account continued to trade capacity, which is a special case. 2, in normal circumstances, you can only do what you can afford to lose the transaction, your loss should be within the carrying capacity you can. Therefore, the use of funds can be the size of your stop-loss amount is based on the largest, but can not calculate the expected profits. 3, the size of your use of funds and your trading capabilities to be combined. Transaction capability can use the larger proportion of funds, or you&#8217;ll think you are too small and the mentality of poor profitability; while poor investors who trade the best a little more cautious, otherwise, your loss would exceed the capacity of your imagination and make your mind chaos.</p>
<p>Fund management is just the basis of good trading mentality, but far not all. I personally think that a good deal to keep the key is to correctly understand the mentality of a loss, this is the most critical.</p>
<p>Second, a correct understanding of a loss of</p>
<p>Refusal led to a loss of trading the underlying causes of bad attitudes! Loss is a normal transaction, losses are bound to emerge. Profit and loss as people left and right feet, the success of profit and losses by profit formed. The composition of trading profit and loss, no one can split profits and losses of the portfolio, the market does not exist only the profit or loss transactions. The key is to regard the loss of the vast majority of investors, to treat the transaction as an error that the loss was their mistake, and thus repeatedly asked his accurate analysis and forecast the market, thereby reducing the number of stop-loss. However, the market simply can not predict the losses as investors look wrong can never be out of the fear of uncertainty on the Quotes, Quotes of the perpetual state of uncertainty so that investors jittery state of Jin, played very hesitant, stop-loss is more is not decisive, even if no matter how good money management will not dare to make mistakes because of fear of an effective implementation of the trading scheme, and thus the loss of trading opportunities.</p>
<p>What is a loss? A loss of trading profits just to pay the price that must be just, is the normal cost of seeking opportunities for profit only, any profit must pay the price! Any industry are so! A loss is a normal phenomenon! Loss does not mean you are wrong, but only on behalf of your profit increased costs. The loss as the error term investors will lose confidence in the transaction because the losses will always occur, leading to loss of confidence is the root cause of poor trading mentality. I never do not think a loss of transactions is wrong, I never do not require their own accurate forecasts the market, I just continued to look for trading opportunities with the stop-loss, I know to find an effective opportunities for profit will continue to arise before I stop. Unwilling to accept the inevitable loss of people is to ask themselves must be able to accurately predict the market, he is always afraid of doing wrong! Afraid of the wrong mentality will inevitably lead to bad! Wrong is not terrible, terrible is a not insist! Simply impossible to accurately predict the market, which will lead to investors caught in the confusion of desire and reality difficult to balance the mind. Right and wrong can not be judged by the profit and loss, but by the quality of profit and loss to judge. Quotes made out against the then stop, it does not mean you have done something wrong, but rather shows you do right, you should tell yourself: &#8220;Oh, what should I pay the cost of the&#8221; rather than blame themselves: &#8220;how I was wrong again the case? &#8220;; and Quotes in doing so they earn a little money out of that on the surface to see you a profit, yet you have a real wrong! Only by seeking opportunities for profit losses as the cost to treat you will not fear a loss in order to calm acceptance of a loss. Only be able to calm acceptance of a loss of your trading mentality if they are not a result of market uncertainty can not be stabilized.</p>
<p>Magnitude of losses by the fund management to control, you can not loss of unrestricted laissez-faire development. By this time, fund management, began to play its role.</p>
<p>3, focus on stop-loss, without regard to profit</p>
<p>To do two things at the front, you will still be profitable trading mentality is difficult to calm the impact of desire. The desire to profit all the time surging in our hearts, we are also profit-seeking purpose of the transaction. This desire will be the same as the ants scratch in our hearts so that we worry about the outcome. Our mentality as price fluctuations will be good times and bad, bought a total want the price to skyrocket, selling a total want the price to fall all the way, this eager desire for profit will lead to your own mind disturbed. The market will never go according to your mood! In fact, in the transaction only thing we can control only their own stop-loss, while the profitability will not listen to us at the mercy of it, because the market is unpredictable. We can only do what we can do, and we must strive to do what we can do, and do a good job we can do, and you the things will come. Stop pegging can do is do our work because we can control the stop-loss; if pegged to profits or market, you do not control themselves and grasp things, the pursuit of things that would certainly fail to grasp your mind can not grasp. After that we just stare at stop-loss approach, as long as the price of less than a stop-loss point, we have been held, should not be too concerned about the fluctuations in concrete, and too concerned about the volatility will cause fluctuations in your attitude is also non-stop. Stop-loss is relatively static, with the controllability, controllable nature of the stop-loss will enable us to maintain a good frame of mind. There will be a proverb: Let the profits take care of themselves! Very insightful! When you just stare at stop without taking into account profits, as well as what factors can to make your mind to lose? Stop-loss does not consider pegging the profit is not the pursuit of profit, but rather the pursuit of profit is the best method, because profit is naturally out of it is done right after the patience to wait out positions, rather than deliberately seeking and frequency of transactions created, This is the source of profits. Risk Management Well naturally the profits will come! ! Maintain a good state of mind must cooperate fully with the above three aspects, we must first correctly understand the loss, frankly accepted the loss, and then by the fund management to control losses, the final stop with the peg does not consider the implementation of the profits go to the specific transaction. To maintain good trading mentality is a systems engineering, not simply good financial management will do.</p>
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		<title>Repeat 1000 times the correct operation</title>
		<link>http://www.forextradingtips4u.com/repeat-1000-times-the-correct-operation/</link>
		<comments>http://www.forextradingtips4u.com/repeat-1000-times-the-correct-operation/#comments</comments>
		<pubDate>Tue, 25 Aug 2009 09:09:37 +0000</pubDate>
		<dc:creator>Forex Trading Tips</dc:creator>
				<category><![CDATA[Forex Trading Tips and Strategies]]></category>
		<category><![CDATA[forex trading tips]]></category>

		<guid isPermaLink="false">http://www.forextradingtips4u.com/?p=378</guid>
		<description><![CDATA[First, a successful operation In each investor&#8217;s investment process, must have had at least one successful operation. But success is often overwhelmed by the subsequent failure of large and small, account is also by the profit attributable to a loss. Investors in a recurring cycle of losses and profits during the busy, perhaps overlooked the [...]]]></description>
			<content:encoded><![CDATA[<p>First, a successful operation</p>
<p>In each investor&#8217;s investment process, must have had at least one successful operation. But success is often overwhelmed by the subsequent failure of large and small, account is also by the profit attributable to a loss. Investors in a recurring cycle of losses and profits during the busy, perhaps overlooked the significance of a successful operation.<br />
All things are from a start. If investors be able to successfully&#8217;s success with the anatomical study of sparrows the way clear, then from a loss has been just around the corner toward profitability. Because investment is composed of the operation time and time again. If investors be able to do an operation, which means that already has a number of preliminary foundation for proper operation.</p>
<p>Second, the correct operation of repeating 1000 times</p>
<p>In last week&#8217;s article referred to &#8220;compound interest&#8221; concept, the discussion within the company when I have said many times, if investors can put the correct operation of repeating 1000 times, due to the role of the compounding effect of complete steady profit from a loss to the the transition becomes very simple.<br />
Losses are the reason why a loss is not know what is right, but know not OK, so the erroneous erase the right, so that a loss offset by profits from a successful move toward defeat.</p>
<p>Third, a move fresh, eat around days</p>
<p>A move fresh, eat around days. The correct mode of operation repeated 1000 times, can be used as professional investors, a success. Road to success there are many articles to find one and go on a firm, we will be able to reach the other side of success.<br />
Days Where?<br />
In 19 major financial markets, liquidity of the 2,500 varieties of the best.<br />
Successful investors need to find their way, in a platform, found ample opportunity for the proper operation in the shortest possible period of time to repeat 1000 times.</p>
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		<title>Dollar will remain weak but not much room down</title>
		<link>http://www.forextradingtips4u.com/dollar-will-remain-weak-but-not-much-room-down/</link>
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		<pubDate>Fri, 07 Aug 2009 02:35:00 +0000</pubDate>
		<dc:creator>Forex Trading Tips</dc:creator>
				<category><![CDATA[Forex Trading Tips and Strategies]]></category>
		<category><![CDATA[forex trading tips]]></category>

		<guid isPermaLink="false">http://www.forextradingtips4u.com/?p=375</guid>
		<description><![CDATA[Dollars for a two-day consolidation, a breathing spell, short-term trends and to be announced this week the five indicators of U.S. employment is closely related to the trend of the center line and the sustainability of economic recovery and rising interest rates expected to be relevant. Africa and the United States, the commodity currencies have [...]]]></description>
			<content:encoded><![CDATA[<div id="result_box" dir="ltr">Dollars for a two-day consolidation, a breathing spell, short-term trends and to be announced this week the five indicators of U.S. employment is closely related to the trend of the center line and the sustainability of economic recovery and rising interest rates expected to be relevant.<br />
Africa and the United States, the commodity currencies have a high suspicion of stagnation, the Japanese yen continued to tepid. Commodity and stock markets are a bit through the first, do not rule out the possible future callback, which will help counter U.S. operation has recently been short of goods to the appropriate currency.<br />
Economic indicators may still repeated<br />
Tuesday the U.S. Commerce Department announced that personal spending in June by 0.4 percent, better than the high of May by 0.1. But this is only because of rising gasoline prices led to them, can not describe the problem. If the above-mentioned data adjusted for inflation, in fact by 0.1%, worse than the zero growth in May.<br />
At the same time, the Commerce Department reported personal income in June the number of poor is lower than the Central 1.3 percent, while the forecast is down 1.0%. The very large drop of 1.3%, a record in January 2005 the largest decline.<br />
In addition, the Commerce Department report showed that inflation-adjusted tax if paid after deducting the factor, then in June the disposable income of residents dropped by 1.8 percent, the largest decline for the past year.<br />
This set of balance of payments data show that the U.S. economy is not as good as some people think so optimistic, but also optimistic about the data, as published in Tuesday&#8217;s housing data well. The National Association of Realtors (NAR) Tuesday announced the signing in June housing index rose 3.6 percent, far better than the 0.7 percent rise forecast.<br />
To some extent, personal income and expenditure data is one of the most important data, at least for the United States is so consumer countries. It is worth mentioning that, when the expenditure reduction, if the savings to upgrade, then such expenditures may not be able to reduce what, but the problem is the United States happens to occur in June decline in the savings rate. May is when the 6.2 percent savings rate, which in June fell to 4.6%, a few months before the U.S. savings rate has been rising.<br />
Will be announced later this week, the U.S. unemployment rate is very important, the number of layoffs and other indicators, which indicators should be related to personal income and expenditure, but also indicates that the future economic direction. If the bad indicators in this regard, the dollar may not benefit too much, although the emotional enhance the hedge, which is bad because if these indicators, it indicates that inflation or delayed, which the Federal Reserve to continue to spam or currency.<br />
Conversely, if these indicators to improve, the dollar will not rise because of the risk preferences extended losses due to oil prices or will break up.<br />
The rise in oil prices boost the weak dollar<br />
Dollar began to fall last Friday, one week and then dropped, not Tuesday and Wednesday fluctuations, the dollar index at 77.67 Wednesday at 16:40 suspense. The euro against the dollar this year has reached a high point, the trend of slightly hesitant, after all, the majority of agencies including the IMF, including the view that the euro currency as much as 15 percent overvalued.<br />
Weak U.S. dollar against the commodity, including oil prices constitute a strong force, the current rise in oil prices in the course of the danger, if oil prices rise further, consumers may also be deteriorating balance of payments, because in essence ******** equivalent tax on consumers. Wednesday oil prices around 71 U.S. dollars a barrel, if the past year high of 74.66 U.S. dollars of the situation or to deteriorate rapidly.<br />
Although the economic indicators released Tuesday than the contradictions, it&#8217;s undeniable that the overall economic indicators last month is getting better and better, if the trend continues, then this in itself to support oil prices, even if the exchange rate, not to mention the U.S. dollar is now vulnerable to the good economic indicators suppressed.<br />
Therefore, the market reaction to the economic indicators will, sooner or later, because the economy is, after all, the basis of the currency. Of a currency due to the good or the economy, because of the weak economy and inflation, which at most only a stage, but will not be long term is a norm.<br />
The global economy simply can not afford high oil prices, major countries in the West is not happy to see this. Exchange rate does not always reflect economic fundamentals, some of the key when more non-market factors in doping, no matter what the implementation of a floating exchange rate system, almost every country in the world who will &#8220;manage&#8221; the exchange rate, but in varying degrees, means a difference in terminology .<br />
Because the West is still in deflation, current, and therefore a weak dollar, or will, but if the oil price gains, the market expectations or changes, if the gold mark stations on the 1000 U.S. dollars, will be expected to change even more.<br />
Therefore, although the dollar may be down, but the opportunity to drop or limited operation space can be properly read, a fall when investors should do more, but will also be depending on whether oil prices and gold prices rose to decide whether or not expected to change.</div>
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		<title>States have a strong manufacturing sector, the U.S. hedge rapid decline</title>
		<link>http://www.forextradingtips4u.com/states-have-a-strong-manufacturing-sector-the-us-hedge-rapid-decline/</link>
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		<pubDate>Wed, 05 Aug 2009 07:13:21 +0000</pubDate>
		<dc:creator>Forex Trading Tips</dc:creator>
				<category><![CDATA[Forex Trading Tips and Strategies]]></category>
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		<description><![CDATA[Judging from the overall trend, Africa and the United States to strengthen the currency short-term gains momentum, the U.S. pressure increased, it is proposed to hold Africa and the United States-based care, but a good position to control. The euro: euro 1.433 breakthrough high level of the center line, KDJ indicator divergence upward again, it [...]]]></description>
			<content:encoded><![CDATA[<div id="result_box" dir="ltr">Judging from the overall trend, Africa and the United States to strengthen the currency short-term gains momentum, the U.S. pressure increased, it is proposed to hold Africa and the United States-based care, but a good position to control.</p>
<p>The euro: euro 1.433 breakthrough high level of the center line, KDJ indicator divergence upward again, it is proposed to hold cautious expected volatility in the euro today between 1.433-1.446.<br />
Japanese Yen aspects: the Japanese yen continued to show a trend of consolidation, supported by the location of the 63-day average, that is, the level of 95.5, the proposed wait-and-see mainly the volatility in the yen is expected today between 94.6-96.<br />
£ aspects: the pound has risen to the top of the center line consolidation range, and the average was up on the 10th movement, it is recommended caution had expected volatility in the pound today, between 1.68-1.71.<br />
Australian aspects: on the 10th along the average Australian dollar rose, and the formation of short-term increase in channel, RSI indicator has not yet bought into the super regional, it is proposed to hold cautious expected volatility in the Australian today between 0.834-0.85.<br />
Swiss franc areas: the Swiss franc破位up, has risen above 1.06, but the indicators did not significantly increase in signs, it is proposed to hold cautious, volatility is expected today in the Swiss franc between 1.05-1.065.<br />
Aspects of the Canadian dollar: Canadian dollar fell again in slightly upward, a marked increase in average on the 10th, but KDJ consolidation at a high level indicators, it is proposed to hold cautious expected volatility in the Canadian dollar today between 1.06-1.078.</p></div>
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		<title>Pounds break up, remains to be seen whether the continuing</title>
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		<pubDate>Wed, 05 Aug 2009 07:10:33 +0000</pubDate>
		<dc:creator>Forex Trading Tips</dc:creator>
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		<description><![CDATA[For two consecutive months in the wide range of 1.55-1.65 after concussion, a breakthrough last week, the trend of the pound, single-week or more than 1.7%, almost 1.674 U.S. dollars in early July high. One week, continuing the strong pound and one break up 1.68 U.S. dollars, technical graphics collated to form a triangle situation [...]]]></description>
			<content:encoded><![CDATA[<div id="result_box" dir="ltr">For two consecutive months in the wide range of 1.55-1.65 after concussion, a breakthrough last week, the trend of the pound, single-week or more than 1.7%, almost 1.674 U.S. dollars in early July high. One week, continuing the strong pound and one break up 1.68 U.S. dollars, technical graphics collated to form a triangle situation breakthrough.<br />
The recent increase in market risk appetite for the pound great help, especially in the United States last weekend, a series of economic data significantly better than expected non-US currency opened up space. Thursday announced the number of continuing to apply for unemployment benefits fell for five weeks, showing that the employment situation of the United States might be encouraging signs, but announced Friday the second quarter of the PMI and GDP data are also encouraging, the stock market continued higher and therefore, investors to hedge U.S. dollar sentiment has been substantially reduced to sell, pound sterling and Australian dollars to become the strongest trend in Africa and the United States in the two currencies varieties.<br />
Britain&#8217;s own data are mixed, the budget deficit and continue to follow up initial decline in the second quarter GDP reached 5.2%, higher than market expectations. However, this week announced a July manufacturing PMI to reach 50.8, significantly stronger than the market expected 47.7, the data in March 2008 is the first time since the 50 stations of the Boom on the top of the watershed, showing the British economy may be in the third quarter emerging signs of a turning point for the better. Encouraged by this data, the trend of the pound Monday the formation of a breakthrough in the trigger stop loss near 1.6730 after the one in October last year to create a new high since.<br />
Although the trend from a technical point of view, the pound is still a short-term upward momentum to continue, but the sustainability of prices remains to be seen. Against the pound this week, there are two events the most crucial: one is that the Bank of England interest rate meeting, the current market is expected to maintain the current level of interest rates unchanged, but after the implementation of the quantitative easing policy will change differences will be a great mistake. Pessimists believe that the performance of the UK economic data has not yet attained the ideal, the central bank may increase the quantitative easing policy efforts; and those who are optimistic about the recent U.S. economic data as an example, that the rise in the second half of the British economy will be a significant increase in kinetic energy, which the Bank of England will be temporarily to stop the implementation of quantitative easing policy. If the latter is expected to achieve, it is clear sterling will be a huge increase in power, because the quantitative easing policy has been to suppress the exchange rate of pounds short of the main reasons. The current situation, due to the good performance of PMI, which is the probability of realization is gradually increasing.<br />
The second is the United States will announce Friday&#8217;s employment report, for emerging applications for unemployment continued downward trend in the number of data can lead to the U.S. unemployment rate has slowed down the speed of emergence of a cause for concern, the market will try to find out whether it will prove that the United States the unemployed to enter the evidence-based recovery. If the unemployment rate or speed of data was significantly lower than expected, the United States the third quarter&#8217;s economic growth will be further enhanced, so will also be short-term stimulus for the performance of Africa and the United States currency. However, if the unemployment rate continues to go up substantially, then the market will question the basis of U.S. economic recovery is strong, which may trigger retaliatory U.S. rebound or follow the trend of pounds will also be affected.<br />
From short-term technical perspective, in a breakthrough after the crossing of 1.674 U.S. dollars, pound sterling, the weak resistance of 1.70 U.S. dollars in the emergence of an integer mark, strong resistance is at 1.75 line in mid-October 2008 to form a platform at the top of the region, and can reach the location, it depends on whether the pound from the economic data to get more help.</div>
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		<title>Trading was light in summer accidents obviously increased exchange rate volatility</title>
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		<pubDate>Sat, 25 Jul 2009 07:58:52 +0000</pubDate>
		<dc:creator>Forex Trading Tips</dc:creator>
				<category><![CDATA[Forex Trading Resources and Tools]]></category>
		<category><![CDATA[Forex Trading Tips and Strategies]]></category>
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		<description><![CDATA[Yesterday, the foreign exchange market, increase in non-dollar currencies fall, the U.S. data better than expected, and further promote the U.S. stock market gains, improved risk appetite, supporting the U.S. dollar, specifically to analyze: 1. Yesterday, the U.S. Department of Labor data show that, as of July 18 the week of initial jobless claims increased [...]]]></description>
			<content:encoded><![CDATA[<div id="result_box" dir="ltr">Yesterday, the foreign exchange market, increase in non-dollar currencies fall, the U.S. data better than expected, and further promote the U.S. stock market gains, improved risk appetite, supporting the U.S. dollar, specifically to analyze:<br />
1. Yesterday, the U.S. Department of Labor data show that, as of July 18 the week of initial jobless claims increased 30,000 to 554,000 people, economists forecast last week, initial jobless claims increased 43,000 persons; the U.S. real estate brokers Association announced in June existing home sales on-year rate of 3.6% of the total number of years to 4.89 million, better than the 4.85 million expected in order to trigger a U.S. withdrawal from hedge funds.<br />
2. Trading was quiet recent addition to the summer may lead to currency volatility, the sources said yesterday in Japan to foreign currency-denominated investment trusts needs to rise to full pressure the yen. For example, Brown Brothers Harriman analysts said that the Japanese market for large-scale demand for bonds deal may help push down the yen exchange rate, that is, the scale of this week issued is estimated at 30 billion U.S. dollars, to include the Australian dollar, the currency of South Africa rand and the Brazilian Real, and a number of currencies.<br />
3. Yesterday, the United Kingdom announced in June retail sales and mortgage license number was better than expected, indicating that the UK economic slowdown a recession, that is, the United Kingdom in June retail sales rose 1.2% on the rate of annual increase of 2.9%, a record in December last year, the largest annual increase since before economists expected rates to rise 0.3% on annual increase of 2.1%.<br />
Judging from the overall trend, Africa and the United States currency was shock increase, but further upward pressure breakthrough larger temper Africa and the United States may be appropriate to reduce the proportion of money holders.<br />
The euro: the euro down to try the high point, a temporary hold on short-term moving average on the 10th, that is, 1.412 level, MACD shows the trend of mild days, it is recommended to gradually temper the top 142 sold in euros, the euro is expected today between the amplitude in the 1.412-1.427.<br />
Japanese Yen aspects: the yen fell sharply, has dropped to 200 days moving average support, the average U-turn on the 10th down significantly, it is recommended to focus on the support of the performance level of 95.2, expected volatility in the yen today between 93.8-95.5.<br />
£ aspects: the pound continued to show a narrow range of collated and maintained at the 22 day online side, RSI indicator at the 50 neutral level, the proposed wait-and-see mainly expected volatility in the pound today between 1.643-1.658.<br />
Australian areas: high short-term fluctuations in the Australian dollar, 10-day average was up running, but there are indicators KDJ high convergence, it is recommended temper profits in 0.818 above the expected volatility in the Australian today, between 0.81-0.82. ,<br />
Swiss franc areas: the Swiss franc has failed to break the center line level pre-high 1.06, the temporary drop in the average support on the 10th, that is, the level of 1.075, the proposed wait-and-see, volatility is expected today in the Swiss franc between 1.07-1.08.<br />
Aspects of the Canadian dollar: Canadian dollar short-term to maintain a clear increase in the channel, the upward trend in average on the 10th, but the indicators are high KDJ signs of convergence, it is recommended temper sold in the vicinity of 1.08 Canadian dollars, Canadian dollars today, volatility is expected in the between 1.08-1.095.</div>
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		<title>Diving from a high possibility of increased run-down</title>
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		<pubDate>Sat, 25 Jul 2009 07:52:18 +0000</pubDate>
		<dc:creator>Forex Trading Tips</dc:creator>
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		<description><![CDATA[Recently, the stock market and foreign exchange markets is still very high correlation, but yesterday&#8217;s sudden weakening of the association. Despite the strong performance of Wall Street last night, closing the Dow hit a new high of 8 months, S &#38; P 500 index to close at 8 months of high points, but Africa and [...]]]></description>
			<content:encoded><![CDATA[<div id="result_box" dir="ltr">Recently, the stock market and foreign exchange markets is still very high correlation, but yesterday&#8217;s sudden weakening of the association. Despite the strong performance of Wall Street last night, closing the Dow hit a new high of 8 months, S &amp; P 500 index to close at 8 months of high points, but Africa and the United States currency was trading against the U.S. dollar currency diving, fell sharply. Figure from the Japanese point of view, apart from the dollar / Canadian dollar is still very sharp downward trend, the other major currencies against the dollar consolidation in the high range for a long time, even though some of the currency of a record yesterday on a new high, but not yet large-scale breakthrough triggered a number of multi-node Lee, to suppress the exception of the Canadian dollar outside Africa and the United States currency against the U.S. dollar, recorded in the final candle Yam, the current in the range of these currencies against the increased possibility of dilapidated high. Stock and foreign exchange markets the sustainability of such differences remains to be tested, we still look for clues from the stock market, analyze the risk of emotional investors. Judging from the news, announced yesterday at the American Enterprise Finance, existing home sales data were better than expected, continue to push up the stock market, but closed after the U.S., Microsoft released the second quarter results below market expectations but may be suppressed technology shares. On the other hand, oil prices continue to rebound, the substantial depreciation of the yen, Japan&#8217;s stock market may push the energy stocks and export enterprises, but also in Europe and the U.S. stock market yesterday showed significant increases, this trend is likely to continue until the sub-city.<br />
Time the United States data: the United States last week, initial jobless claims 554,000; U.S. June existing home sales of 4.89 million, up 3.6% on rates.<br />
Sub-city data Friday: 12:30 will be announced in May the Japanese all industry activity index on the rate.<br />
Euro<br />
EUR / USD hit New York in early trading July 8 from a low of 1.4291 high rebound, but failed to break through 1.4300-bit integer. Some multi-select node benefit substantially suppressed after the diving dollar, fell to 1.4135, to close at 1.4145, sub-city consolidation decline before opening. Figure on the 3rd day straight down, increasing the possibility of high run-down, up again if a dilapidated condition and may try to temper short. Decline in the current consolidation plan hours.<br />
Japanese Yen<br />
Dollar / yen yesterday in New York the day time extension of the shock up trend, once the 200 day moving average on the barbed 95.19, rose to 95.30. Japan plans rose nearly 200 points yesterday to close at 21 daily online side, is still in early April from the median of the top of the downlink channel, and further resistance at the 50 day moving average and channel on the track. Buy ultra-hour plan has been amended, the current tendency to further upstream.<br />
British Pound Sterling<br />
GBP / USD trend hours shock in New York, after falling the most down to bounce back this month recorded a new high of 1.6586, but after the sharp diving, taking all the gains, the Japanese plan was recorded in &#8220;Star Cross&#8221;, has been high in the range of consolidation in recent week , increasing the possibility of run-down, we tend to re-up in a dilapidated condition, the short temper. Decline in the current consolidation plan hours.<br />
Swiss Franc<br />
USD / CHF in New York along with the U.S. The main trend of time, after the initial rebound, fell 1.0642, but rose sharply after the beginning of one time on average on the 10th thorns. Figure on the 3rd day in a row June 24 to find support near the lows, and yesterday, recorded a positive candle up, we are more inclined to run interval, if the exchange rate down again in a dilapidated condition in the near range, the tendency to do more than bargain. Hour plan or the current consolidation.<br />
NZD<br />
Africa and the United States with other currencies like NZD / USD rebound in early trading, after the sharp diving, down more than 100 points. Figure 2 was recorded on &#8220;Star Cross&#8221;, the recorded negative long candle, dilapidated signs of enhanced uplink, if we are inclined to re-up in a dilapidated condition, the short temper. Decline in the current consolidation plan hours.</div>
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