Le ultime operazioni segnalate dai nostri trader
- TRADING ROVITO 08/09/17 16:33 +2,15% su CNHI (TOBIN FREE)
- TRADING ROVITO 08/09/17 10:50 Segnale disponibile
- TRADING MILANO 05/09/17 13:57 +2,85% su TENARIS (TOBIN FREE)
- TRADING MILANO 05/09/17 13:56 -0,29% su TENARIS (TOBIN FREE)
- TRADING MILANO 31/08/17 11:54 +1,90% su UNICREDIT (in Trading Stop)
- TRADING MILANO 31/08/17 11:53 Segnale disponibile
- TRADING MILANO 31/08/17 11:49 Segnale disponibile
- TRADING MILANO 31/08/17 11:48 Segnale disponibile
- TRADING ROVITO 31/08/17 10:03 +2,72% su CNHI (TOBIN FREE)
- TRADING ROVITO 30/08/17 15:04 +1,52% su CNHI (TOBIN FREE)
- TRADING ROVITO 30/08/17 10:52 +2,52% su BUZZI UNICEM
- TRADING ROVITO 28/08/17 16:29 Segnale disponibile
|DATA ULTIMA OPERAZIONE||STRUMENTO||TIPO||LEVA||Qtà||PREZZO APERTURA||PREZZO CHIUSURA||% OPERAZIONE||p & l||p & l %|
|31/01/2017 16:33||MINIFIB Marzo IFMH||LONG||1||2||18.480||18.560||0,43%||160||0,32%|
|31/01/2017 09:31||MINIFIB Marzo IFMH||LONG||1||2||18.750||18.840||0,48%||180||0,36%|
|09/01/2017 11:57||MINIFIB Marzo IFMH||SHORT||1||1||19.685||19.385||1,55%||300||0,60%|
|06/01/2017 11:06||MINIFIB Marzo IFMH||SHORT||1||1||19.685||19.450||1,21%||235||0,47%|
|03/01/2017 17:11||MINIFIB Marzo IFMH||SHORT||1||3||19.685||19.575||0,56%||330||0,66%|
|13/09/2016 08:20||MINILOTTO/CFD DAX||LONG||1||1||10.495||10.535||0,38%||100||0,20%|
|02/09/2016 15:09||MINILOTTO/CFD DAX||LONG||1||1||10.558,42188||10.602||0,41%||108,94531||0,22%|
|02/09/2016 08:23||MINILOTTO/CFD DAX||LONG||1||3||10.558,42188||10.569||0,10%||79,33594||0,16%|
|01/09/2016 10:42||MINILOTTO/CFD DAX||LONG||1||1||10.610,6875||10.660||0,46%||123,28125||0,25%|
|01/09/2016 09:05||MINILOTTO/CFD DAX||LONG||1||2||10.610,6875||10.630||0,18%||96,5625||0,19%|
|31/08/2016 09:46||MINILOTTO/CFD DAX||LONG||1||1||10.623,25||10.651||0,26%||69,375||0,14%|
|30/08/2016 15:50||MINILOTTO/CFD DAX||LONG||1||1||10.620||10.684||0,60%||160||0,32%|
|22/08/2016 16:34||MINILOTTO/CFD DAX||LONG||1||1||10.425||10.535||1,06%||275||0,55%|
|22/08/2016 16:19||MINILOTTO/CFD DAX||LONG||1||1||10.425||10.505||0,77%||200||0,40%|
|22/08/2016 13:18||MINILOTTO/CFD DAX||LONG||1||2||10.425||10.467||0,40%||210||0,42%|
|04/08/2016 08:01||MINIDAX DICEMBRE||LONG||1||1||10.148||10.238||0,89%||450||0,90%|
|03/08/2016 22:02||MINIDAX DICEMBRE||LONG||1||1||10.148||10.188||0,39%||200||0,40%|
|27/07/2016 15:40||MINIDAX DICEMBRE||LONG||1||1||10.165||10.321||1,53%||780||1,56%|
|06/07/2016 09:52||MINIFIB Dicembre IFMZ||SHORT||1||1||15.790||15.455||2,17%||335||0,67%|
|30/06/2016 17:50||MINIDAX SETTEMBRE||SHORT||1||1||9.690||9.640||0,52%||250||0,50%|
Speculative trading on futures and on CFD of the main international indexes, with particular attention to mini FIB and CFD (or mini lot) Dax, to spot the most interesting movements on these tools. Trades performed exclusively in overnight margins,...Continua a leggere
Speculative trading on futures and on CFD of the main international indexes, with particular attention to mini FIB and CFD (or mini lot) Dax, to spot the most interesting movements on these tools. Trades performed exclusively in overnight margins, leverage 10 with maximum 3 pieces. With Minifib is possible to arrive also so 8-10, in particular case of strong volatility.
The strategy will be essentially of two types, with inputs that reach maximum 3 pieces (1 on the first support or resistance, and 2 on the second, always set slightly above the defined stop loss):
1) Capitalise on surplus (upside or downside) on critical counter-trend thresholds to hit and run
2) Enter on buy or sell signals of the 15-60 minutes bet trying to get a hit and run or with the first piece entered and keeping others until there is no outlet signal in stop loss from the above time frames or achievement of the objective, when all 3 programmed pieces are entered; or exiting after the first profit gain when only one piece enters in position.
Portfolio dedicated only to those who are well capitalized to take advantage of the risk avoidance perspective of their own trading, and only having an adequate knowledge and experience of the futures and derivatives in general.
The orders entered are valid only for the day in which they are emitted (UNTIL 17:25), unless otherwise explicitly communicated.
The objective of this portfolio is trying to meet the strong demand of trading signals on this type of tools; trying to provide operational guidelines that give the possibility, if shared, to be replicated without much difficulty. The risks associated...Continua a leggere
The objective of this portfolio is trying to meet the strong demand of trading signals on this type of tools; trying to provide operational guidelines that give the possibility, if shared, to be replicated without much difficulty. The risks associated with the use of futures and derivatives in general should be well thought out, and that is why it is always recommended save only part of the liquidity for such trading.
What is Money/Risk Management? Why is it so important?...Continua a leggere
What is Money/Risk Management? Why is it so important?
Alongside the trading techniques, in and out strategies and the analysis of graphs, the management of the capital available plays a critical role, which becomes the decisive element to dominate losses and gain long-term profits.
A common characteristic of successful traders is the methodological approach to trading.
Methodological not only in the application of rules regarding trading, but also and especially for the management of the capital used in speculative activities.
The money management is, in fact, the real crucial point of the successful trading strategies, because the main concern of those trading on the Stock market should be, in the first place, to safeguard the capital.
Therefore, besides the direction foreseen for the market, it is also needful to know how to dose the capital to be used.
We have the Kelly Formula to help us with this, as a method to define the quantity of capital to use, depending on the accuracy of the system and on the ratio between winning and losing trading.
In this way, the capital is automatically 'dosed' based on the reliability of the system, thus allowing to diversify with the remaining capital, trading on other markets or with other systems.
Let us assume we use 20% of the capital for a transaction and risk, as stop-loss level, 10% of this amount, the potential of negative impact on a global level will be limited to 2%.
All strategies have a capital management component that allows distributing the risk, limiting perhaps the gains from unexpected movements, but preserving the capital for the future and one of the most effective methods to distribute the risk and maximise the returns of the capital used is definitely hedging bets.
In practical terms, for the purposes of short-term trading, trading hedging bets means using different systems on the same market or trading on various tools with a certain technique.