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introduction
Bismillahhirrahmanirrahim.
method ini adalah continuation from method 1000 pips seminggu. kalau belum habis baca yg tu,
jgn baca yg ni. nnt konpius tahap dewa.. suitable utk trader yg berpengalaman sahaja. kalau baru
sebulan dua, mahirkan 1000 pips dulu.
ni saya bagi summary utk method 1 dan perbezaan dengan method no 2.
method 1: strength meter analysis - trading base on dominnat currency, cari pacemaker then
tapau sume follower yg satu family. Execution berdasarka price action dan self fulfilling prophecy.
(SnR)boleh digunakan untuk single pair, twin pair or multipair. MINITREND SCALPING, SHORT-
TERM ONLY
Ini sesuai utk newbie yg dah fasih pasal price action. Kalau belum mahir, kena study and praktise
dulu price action. sebelom cuba method 2, pastikan dah cuba faham method 1.
ok, bismillahirrahmanirahim.
this method, kita bahagikan kepada 2 jenis.
leveraging risk is less risky daripada averaging risk. sebab kita spread out the risk and return
kepada banyak pair. naik keter kuda, pakai banyak kuda... nak pakai sekor yg gagah perkasa pon
boleh, tapi, kalau dia naik angin x mo ikut ckp.. naya..
saya personally suka trade 14 pair, tapi evaluation di buat pada 28 pair.
ini bermakna kita mengambilkira pergerakan currency secara menyeluruh.
yg ni 28 pair
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Untuk method ni, saya jarang guna sebab malas dan tak sabar menunggu. Kalau pakai pon lot
kecik2 shj sebab method ni kalau silap, can cause fatality to ur equity. Hehehe. Tp mana2 method
pon kalau x betul MM, hancus gak. Drwdown can be beribu pips, kalau equity kuat, boleh positive
blk sebbab natural hedging among negatively corelated pairs.
Concept
Kenapa kita nak trade cara macam ni? pertama skali, kita perlu tgk BIG PICTURE of overall
market trend, market concentration,market distribution,market preference, market volatility,
liquidity. byk lg yg boleh dapat daripada IA 28 tu.
Volume and distribution
soalan saya: Forex ni ada volume kah?
ada, tapi tak ada exchange yg accurately monitor the volume of currencies exchanging hand
sebab market ini terlalu besar and terlalu dynamik dan laju. volume yg ade kt platform kita tu
adalah broker based. dengan itu, indikator yg cakap overbought and oversold, agak tidak
accurate. kdg2 dah lebih 90% oversold, tapi 3 hari lepas tu masih oversold. melekat kat bawah je
graph dia. faham tak apa maksud saya?
kalau equity,senang sebab exchange tu mmg monitor how many shares yg ada and how many
being bought or sold.
dengan ada nye IA, kita dapat melihat apa trader2 lain di dunia ni tgh buat dengan 8 major
currencies and 28 major&cross pairs.
because, bila depa jual satu currency, depa mesti tukar ke currency lain kan? kita nak tau apa
currency yg depa tukar tuh. dari sini kita leh tengok volume distribution. so, bila berlakunye satu
fundamental release yg negative kepada USD contoh nye, kita tgk ramai org jual USD. tapi dorg
tukar ke currency apa plak? dari sini, kita leh tgk beberapa pair yg akan correlate atau mirror with
each other sebab mereka jual USD and tukar kepada currency tersebut
ataupon,sentiment weak USD akan menyebabkan allance currency seperti JPY akan follow weak
sebab japan tu antara business trade yg besar dengan amerika.
volatility and liquidity:
kita boleh tengok pair mana paling volatile comparatively among all pairs. yg mana actively
bergerak dalam ranking 28 tum adalah yg paling volatile and paling liquid.
market bias
simple, kalau IA 28 BUY ALL tu dah bg popit positive, tu makna nye bias bullish. ..
kalau popit tu negative, bias bearish
analysis
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above is the screen shot i edited and combine today with last 2 days position. ( i think we need a
script to put together a static statistic from specific date to another date to compare each other)
pd hari ni,kita tgk gbp pair (base) ade 4 kat atas. 1 kat bwh (quote). jelas menunjukan gbp di jual
besar besaran.
attachment for statistical indicator. coded by bro Aiman. 3000pips.zip can be found below.. masih
under construction. this is version 1. I released the Mq4 skali incase you need to edit as per your
preference. credit to Aiman.
ade di dalam package 1000pips ye.
3000 pips IA statistical indicator *klik*
EA for Risk/reward management
this stats will replace the manually open IA 14 and 28 every monday.
you may select imput for desired time and date. kena tau le broker tu GMT berapa.
download history data in Mt4 - tools - history center. must download data for each 28 pairs
available. by default, dia pakai M5, leh tukar.
see below:
compare both picture:
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This image has been resized. Click this bar to view the full image. The original image is sized 1059x641.
kedua, perhatikan column 18hb, yg paling kiri. profit paling tinggi as of today kalau kita buy all 28
pair, profit almost 1000pips nett. if today we open the statistic, and we check the trend masih
strong buy, kalau kita buy pg tadi leh dapat lagi dalam 400 pips.
http://www.mediafire.com/?p8uikvwdd2e32r1