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SMI20 Short term, Mid term & Long term 19.06.2014, 21:21

18:22:40 19.06.2014 от Cvetan Radoslavov



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SMI20  Short term, Mid term & Long term(Targets over 9000chf).

 19.06.2014, 21:21

 Dow, CANSLIM, TF8 Super Hedge  /Written by Cvetan RADOSLAVOV for Reliable forex signals 

 


 SMI20 - 8674chf,

Exchange:SIX , Type: Large cap
Country: Switzerland'

 

Risk Management Plan:

1. SL under 6%(510chf) from byu(entry).

2. Risk per 510chf/of number.

3. Investment to 4% of the deposit / balance in 8 orders(0.5% per orders from deposit/balance).

 

Money Management Plan:

1. Buy@8675chf, sl@8160chf, tp@8690chf x(0.5% - per 510chf/of numbers index),

2. Buy@8675chf, sl@sl@8160chf, tp@8710chfe x(0.5% - per 510chf/of numbers index),

3. Buy@8675chf, sl@sl@8160chf, tp@8720chfe x(0.5% - per 510chf/of numbers index),

4. Buy@8675chf, sl@sl@8160chf, tp@8759chfe x(0.5% - per 510chf/of numbers index),

5. Buy@8675chf, sl@sl@8160chf, tp@8800chf x(0.5% - per 510chf/of numbers index),

6. Buy@8675chf, sl@sl@8160chf, tp@9000chfe  x(0.5% - per 510chf/of numbers index),

7. Buy@8675chf, sl@sl@8160chf, tp@ no limit - long term x(0.5% - per 510chf/of numbers index),

8. Buy@8675chf, sl@sl@8160chf, tp@ no limit - long term x(0.5% - per 510chf/of numbers index),

 

Hedging Risk(prescription): Buy the same volume (such as the long position) American Vanilla Put Option for a period of for months. Under adverse circumstances and hitting the stop, the profit of the option value would compensate for the loss of the executed order the stop price..

 

Comment:After Excess bought on Daily charts and divergence.

 

T.A.:

Long term: upward,

Mid term: upward,

Short term: upward.

 
Period analysis: Short term(1-3weeks) - medium term(1-3monts) and long

term(12monts).


Legend:   Purple: Fibonacci of of short - trend.


Disclosure & Disclaimer:
The above is for informational purposes only and NOT to be construed as specific trading advice. responsibility for trade decisions is solely with the reader.
Prices are indicative and not appropriate for trading purposes. RFS Trading and Tcvetan Radoslavov doesn `t bear any responsibility for any trading losses you might incur as a result of using this data. Please be fully informed regarding the risks and costs associated with trading the financial markets, it is one of the riskiest investment forms possible. Analysis is not a recommendation for opening, closing or changing positions. Analysis is purely informative.

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