RSI in trading The relative strength index (RSI) is a momentum indicator used in technical analysis. RSI measures the speed and magnitude of a security's recent price changes to detect overbought or oversold conditions in the price of that security.
The relative strength index (RSI) is an indicator used in technical analysis to determine overbought and oversold conditions, which provides traders with buy and sell signals (when to enter and exit positions). Values above 70 indicate overbought conditions and those below 30 indicate oversold conditions.
Trading!
Option Trading Options are a type of contract that gives the buyer the right to buy or sell a security at a specified price at some point in the future. An option holder is essentially paying a premium for the right to buy or sell the security within a certain time frame.
When options are better. Options can be a better choice when you want to limit risk to a certain amount. Options can allow you to earn a stock-like return while investing less money, so they can be a way to limit your risk within certain bounds. Options can be a useful strategy when you're an advanced investor.
MACD part 2 in trading Narrator: The moving average convergence divergence, or MACD, is a trading indicator, which can help measure a stock's momentum and identify potential entries and exits. The MACD is a lower indicator, meaning it usually appears as a separate chart below a stock chart.
RSI and MACD are two valuable instruments for technical traders. The RSI is particularly effective in identifying instances where the market is either overbought or oversold in range-bound conditions. The MACD, on the opther hand, is most useful in trending markets as it highlights changes in momentum and trends
MACD in trading The Moving Average Convergence/Divergence indicator is a momentum oscillator primarily used to trade trends. Although it is an oscillator, it is not typically used to identify over bought or oversold conditions. It appears on the chart as two lines which oscillate without boundaries.
Narrator: The moving average convergence divergence, or MACD, is a trading indicator, which can help measure a stock's momentum and identify potential entries and exits. The MACD is a lower indicator, meaning it usually appears as a separate chart below a stock chart.
option and database trading Options are a type of contract that gives the buyer the right to buy or sell a security at a specified price at some point in the future. An option holder is essentially paying a premium for the right to buy or sell the security within a certain time frame.
When options are better. Options can be a better choice when you want to limit risk to a certain amount. Options can allow you to earn a stock-like return while investing less money, so they can be a way to limit your risk within certain bounds. Options can be a useful strategy when you're an advanced investor.
ADX in trading The average directional index (ADX) is a technical indicator used by traders to determine the strength of a financial security's price trend. It helps them reduce risk and increase profit potential by trading in the direction of a strong trend.
The average directional index (ADX) is a technical analysis indicator used by some traders to determine the strength of a trend.
Database trading Part 2Assets which can be considered trade secrets may include 'know-how' databases, recipes, technical designs, software code or even pricing matrices, and must be protected via the implementation of a trade secrets policy.
Paper trading, also known as virtual trading or simulated trading, is a practice that allows beginners and experienced traders alike to simulate the process of buying and selling financial assets, such as stocks, without using real money.
Technical trading Technical analysis is a trading strategy used by investors to identify new investment possibilities. To anticipate future price movements of stocks or other assets, for example, past price and volume data is studied and shown on graphic charts, where trends, patterns, and technical indicators can be identified.
Technical trading is a broader style that is not necessarily limited to trading. Generally, a technician uses historical patterns of trading data to predict what might happen to stocks in the future. This is the same method practiced by economists and meteorologists: looking to the past for insight into the future.
Database trading Data Storage Formats
TLDR; ArticDB looks to be the best current option.
CSV - Simplest, slowest, largest and no data types can lead to type errors when loading.
SQL Database - typically transactional row store (OLTP), slow for analysis (OLAP), difficult to shard and parallelize workloads over clusters.
SP500#1: HOW DOES NONFARM AFFECT SP500?🔎 1/ Fundamental Analysis
🟥 Political tensions:
• The US increases pressure on Russia through energy sanctions. This could lead to trade retaliation, negatively affecting the economy.
🟥 Interest rate policy:
• Interest rates are likely to remain unchanged until June, limiting the amount of money injected into the market – causing concern.
🟥 CPI data next week:
• Inflation is the biggest determinant of interest rate policy. Forecasts show that inflation is likely to increase again, continuing to put pressure on the market.
💡 Basic conclusion:
The market faces a less optimistic sentiment due to increasing economic and political risks.
📊 2/ Technical Analysis
🔵 W (Weekly) Frame:
• This week closed with a long-tailed, long-bodied candle – a strong bearish sign.
🔵 D (Daily) Frame:
• The bearish structure was confirmed after Friday's trading session.
🔵 H1 (Hourly) Frame:
• The bearish price structure is clear: consecutive lower highs, the support trendline is broken.
💡 Summary:
All three timeframes are supporting the downtrend.
📈 3/ Trading Plan
🟢 Correction strategy:
• Support zone: 5676~5750.
👉 Wait for price reaction at this zone to find an opportunity to enter the order.
⚠️ Note: The weekly candle closes badly, profit expectations should not be too high. Do not rush to catch the bottom!
🔴 Trade in the direction of the trend:
Resistance zone: 5890~5915.
👉 Plan: Wait for the price to react at the resistance zone to enter a sell order in the direction of the trend.
🎯 Profit target: 5680 - strong support zone.
❓ Which side are you on - BULL or BEAR?
💬 Leave a comment to discuss and exchange!
GOLD STORY #1: XAUUSD SIDEWAY – SHOULD I BUY OR SELL NOW?🔎 1/ Fundamental Analysis
🔴 Global economy and market sentiment:
• Non-farm payrolls (NFP) data: Positive results, showing that the US economy is growing steadily.
• Inflation – the deciding factor: The Fed is still waiting for CPI data next week, which will be the most important factor for interest rate policy.
• Uncertainty from Russia-US tensions: Trade and political sanctions continue to increase, creating greater risks for the global market.
💡 Summary:
Although the USD received support signals from NFP, gold prices still maintained their upward momentum due to risk-off sentiment.
📊 2/ Technical Analysis
🔵 W (Weekly) Frame:
• After 5 weeks of sideways, gold price bounced back strongly, continuing the main trend.
• The weekly candle closed with a strong body, showing that the bulls are in control.
🔵 D (Daily) Frame:
• The key level 2600 has been broken, but the resistance zone 2725~2750 has not given a positive signal.
• The price touches the resistance but continuously creates higher lows – the market is still leaning towards the bulls.
🔵 H1 Frame:
• The uptrend is clear, but the price is near the resistance zone.
• The Risk-Reward (R:R) ratio is no longer attractive to trade in the uptrend.
📈 3/ Trading Plan
🟢 BUY – Follow the trend:
• If you have a buy order at a low price, congratulations! 🎉
👉 You can:
• Hold the order: If you expect the price to continue to break the resistance.
• Close a part: When the price touches the resistance zone of 2725~2750 to preserve profits.
• Note: If you do not have a position, you should not FOMO into this price zone because the R:R ratio is no longer ideal.
🔴 SELL – Counter-trend:
• Although the uptrend does not support selling, you can consider:
• Wait for the price reaction at the resistance zone of 2725~2750. OANDA:XAUUSD
• Expected profit should be low because this is a counter-trend trade.
🐂 Which side are you on – BULL or BEAR? 🐻
💬 Leave a comment and discuss with the community! OANDA:XAUUSD
#Infy Ready To Hit New 52 Week High#Infy Ready To Hit New 52 Week High
Entery - Above Chart Breakout At 1980
Target - 2050 And 2100
Stop Loss - As Per Your Risk Mangement
Technicals - Stock Ready For Breakout Business Sentiment - Bullish *
Time Frame -15 Days →
Indicators - Stock Can Cross MACD Line
This Is Not Any Financial Advise,
Thank You
Cipla Ltd view for Intraday 12th Jan #CIPLA
Cipla Ltd view for Intraday 12th Jan #CIPLA
Resistance 1500 Watching above 1505 for upside movement...
Support area 1470 Below 1485 ignoring upside momentum for intraday
Support 1470 Watching below 1468 or downside movement...
Resistance area 1500
Above 1485 ignoring downside move for intraday
Charts for Educational purposes only.
Please follow strict stop loss and risk reward if you follow the level.
Thanks,
NAVKAR Levels
#NAVKAR
This stock name is Navkar Urbanstructure breakout Flagon pole on 13.10 You guys see very good return from this stock. This is not I'm saying the chart saying to
you so invest in your own risk. For target of this stock message me I will send you target.
SWING
technical trading Technical analysis is a trading strategy used by investors to identify new investment possibilities. To anticipate future price movements of stocks or other assets, for example, past price and volume data is studied and shown on graphic charts, where trends, patterns, and technical indicators can be identified.
\
Technical trading is a broader style that is not necessarily limited to trading. Generally, a technician uses historical patterns of trading data to predict what might happen to stocks in the future. This is the same method practiced by economists and meteorologists: looking to the past for insight into the future.
Option and database trading Options data captures information on options contracts, including pricing and trading volumes, useful for investment strategies. Discover our guide and top options data providers.
Options are a type of contract that gives the buyer the right to buy or sell a security at a specified price at some point in the future. An option holder is essentially paying a premium for the right to buy or sell the security within a certain time frame.
RSI in trading The relative strength index (RSI) is a momentum indicator that measures recent price changes as it moves between 0 and 100. The RSI provides short-term buy and sell signals and is used to track the overbought and oversold levels of an asset.
You don't need a considerable sum of money to become an options trader. You can start small with a capital of less than Rs 2 lakhs too. However, as you start small, you need to be a careful trader so that you can cut down on the possibility of losses and enhance the return potential of your trades.
Option trading Options are a type of contract that gives the buyer the right to buy or sell a security at a specified price at some point in the future. An option holder is essentially paying a premium for the right to buy or sell the security within a certain time frame.
When options are better. Options can be a better choice when you want to limit risk to a certain amount. Options can allow you to earn a stock-like return while investing less money, so they can be a way to limit your risk within certain bounds. Options can be a useful strategy when you're an advanced investor.
ADX in trading Average Directional Index or ADX is a technical analysis indicator that can determine if a market trend is strong or weak. It provides values between 0 to 100 for the same. A value between 0-25 indicates a weak trend. A value between 25-50 indicates a fairly strong trend.
The average directional index (ADX) is a technical indicator used by traders to determine the strength of a financial security's price trend. It helps them reduce risk and increase profit potential by trading in the direction of a strong trend.
option chain in tradingAn option chain lists all option contracts, including put and call option for given security. However, several traders focus on net change,' 'bid,' 'last price,' and 'ask,' columns to assess current market conditions. Option chain is also called the option matrix.
How does an option chain work? An option chain displays available call and put options for a specific underlying asset, with their strike prices, premiums, and open interest. It provides a snapshot of market sentiment and potential price movements.
Bharati Airtel Ltd view for Intraday 11th Jan #BHARTIARTL
Bharati Airtel Ltd view for Intraday 11th Jan #BHARTIARTL
Resistance 1600 Watching above 1750 for upside movement...
Support area 1570 Below 1585 ignoring upside momentum for intraday
Support 1570 Watching below 1585 or downside movement...
Resistance area 1750
Above 1600 ignoring downside move for intraday
Charts for Educational purposes only.
Please follow strict stop loss and risk reward if you follow the level.
Thanks,