Trade between countries which include currency exchange rates, cost of seed stock, bond price and the price of securities which in keluakan by the government some time ago is very influential in the market buying and selling foreign exchange trading currency. in an observation that I did in September to early November is the movement of selling and buying the U.S. currency against the currency some countries are very stable, in the month of September 2010 exchange rate of USD against JPY ranged between 145 to 167 points, the USD against the EUR 128 points, 166 points of USD against GBP, USD to AUD for 255 points.
The number of local and international news information that does not mean a guarantee valid for determining the exchange of one currency into another currency, or price of shares of a company perlembar, more people do not notice the opening price at the beginning of the weekly as well as the closing price on Friday . Among the ways to see and predict where prices will go that we can make a simple schematic of a basic movement of the economy of a country, we must first know the maximum strength of the economy of certain countries as a determinant of the market, such as State of the United States, europe, french, german , English, Japanese and many other southeast Asian countries that some time has been included as a State that had a major influence on the economy of the State - Country in the world. As a simple example of this when I read a ride - falling EUR / USD is always on view at the opening price at the beginning of the week and at the end of Friday, and the daily opening that occurred at 04:00 local time (depending on when the State itself) basically the price is always affected by tax rules required by the world federation of economic transactions of international interest rates, the price of EUR / USD can be viewed in the range of 6-12 standard points taxes, if the tax begins with red numbers, the possibility for him to be a much higher sales until at least touch the 20-37 point, and vice versa,. The picture is clear I am sure you all can understand, capital market trends, buying and selling foreign exchange rates, problems does is influenced by the individual's own habit, a habit stock market, bonds, and currency exchange rate that we can see in the custom market local or international, it self.
From some technical observations based on stock price fluctuations and the local U.S. joint-stock price that included several leading price of the shares of the world that cause the movement of currency exchange rate of USD United States moves stable at 122 price point up to the highest sale price in AUD 225 points on the closing price of stock exchange and the internal fluctuations of the world combined.
Some observers of international markets that are often observed rise and fall of prices of securities, government bonds, local and joint-stock shares, they argue that the increase in exchange rate U.S. DOLLARS (America) in the core influence of several factors, including:
1. bank rate
2. local investment
3. the number of investors actif
4. State economic standardization
5. basic threshold of investment
I mentioned above is based on information I got from several economic factors that have been applied to do based on standardization of interest rates and interest rates subject of trade in each country based on the standard bank interest that has been determined as if the world trade body.
HOW TO CALCULATE THE VALUE OF CHANGES IN EUR / USD
All forex transactions exchange for EUR / USD is always at the start of the number 0 at the start opening and closing, the transaction usually began at 4 am on the clock transactions according to the time in Indonesia.
If the transaction at the beginning of the opening price of EUR / USD will move between -12 points to 12 points. If the numbers change transaction will touch the number 13 we can take advantage of seven points of the transaction (the actual value we can out of the transaction is 12-14 points, but to minimize digit losses we take 50-60% of the number of possible benefits that we can.
The second transaction value of the currency pair EUR / USD is the movement of the last transaction value changenya between numbers 33 points up with 37 points, if the numbers change constantly moving up to the figure of 39 points, then change the transaction number will increase to 57 points until with 64 points, from the second transaction, I suggest you take advantage of the value estimate of only 60-70% of the value of maximum profit, because if we persist with the maximum possible value we can get stuck in a very large number of losses (range 60-77 point) but if we have two prices in one currency and in one transaction (Buy and Sell) du then added with a trailing stop transaction mode it is probable we will get the benefit of 40-90% of the total capital that we use in this transaction .
The third transaction value of trade exchange rate EUR / USD in between points to 67-77 points, if you change the value of transactions touching 78 points and schematic graph below standart value interest rate the bank will most likely touch to a value of 108 points to 120 point of transaction. You can imagine yourself a return on the transaction, if you are in leaverage 1:500 maybe you just experienced an increase in profit or loss figure of 20% of the amount of capital you use, and I suggest you be able to use mode 2 transactions in one currency, equate the opposite transaction at one position has experienced a gain of 4-6 points, trailing stop and start the transaction mode at the start of a 15-point, or change in the number you want, and get yourself always anticipate losses ranging from 10-70 Your maximum points transaction. Because if you do transactions without account for the possibility of profit and loss you will receive the so you have to redo all your transactions from the beginning, and the transaction value of EUR / USD maximal at the start of 166 points to 247 points, after reaching that number and still moving again, we should be in transaction mode.
HOW TO CALCULATE THE VALUE OF CHANGES IN USD / JPY
In some expert observations of the world economy, the Japanese economy tends to fluctuate very stable in the calculation of their economic strength in terms of trade and long-term investment. For example in the world and the automotive trade, Japan became motifator developed countries and developing countries, many of Japanese trade system type in use as a benchmark of the economic line trading European countries. While in terms of investments, Japan is one country that has the kinds of bonds are much superior in fighting the world's best traders.
studying the behavior of currency markets and currency movements USD / JPY, basically all that movement depends on the country's own economic security. as an example of the Japanese currency movements against the U.S. dollar, currency movements are at start of the economic resilience of the sector under which the start of the opening price after the tax cut in world trade in the range of 6-7 points, if one country from both sides that there resistance in the economic level then it can until it touches in the range of 27-33 points, then in this stage will be no fiscal correction and Asian markets that affect the world economy, while the level of the shift can be big or small the effect depends on every country that has a bonding business and economic relations with the countries concerned, until he touched or not in the range of 39 points, if you can touch the range of 39 points then the world economy calculation he will get to the range of 47 points, in the second movement of this relatively modest increase or decrease in because interest rates pointnya existing bank resistance, in the period and phase of this movement some market participants start to see some factors that can raise or lower the eye point. its share of the interest rate range of 48-51 points, in all factors of performance and marketable securities such as accounts receivable state, retail stocks and bonds will affect the increase or decrease in price in the range of 57 points, this could be a rise in the range of 87 points or down to the opening price on that day, can even influence on the opening price at the beginning of the week, because when it reaches this phase the state began to really pay attention to the ups and downs of economic developments that could affect the increase or decrease the nation's economy. in this phase, some countries will be very thorough and efficient addressing of this movement, because if it is wrong in taking economic measures the country could be touched in the range of 129 points was a movement that will be more difficult to overcome.
some countries that can affect and can be very influential on the movement say USD / JPY or otherwise, including the United States, Europe, England and southeast asia. thoroughly and general all influenced by the countries in the world but these countries is crucial advance or retreat from the currency movements in the economy USD / JPY faucet working relationship factors are strongly associated with primary scale business ties between countries.
from the above calculation method can we know beberpa because prices will rise or fall in interest rates perpoint from banks and foreign exchange rates or the Japanese American countries themselves. this is where the behavioral attitude of healthy economic actors determine whether or not the increase in interest rates or the relativity index on the stock market and currency. so the first step in analyzing the market in the weeks before it is important at all, trading in the stock market is not like we are trading in traditional markets as we see today. exchange and stock market trading is to determine the value and economic level the country (each country). hopefully in a flash of this info can help you in analyzing the stock market, forex and indices.
Scale comparison of the ratio of Japanese economy compared to some other state as follows:
EUR - JPY with a ratio of 1: 1.9 points
USD - JPY with a ratio of 1: 1.5 points
GBP - JPY with a ratio of 1: 2.7 points
Five types of currency that is very influential in the world economic turnover is USD, EUR, GBP, JPY and NZD in recent trading currencies of the five types of trading STOCK, BONDS, INDEX, LEADING INVESTMENT FOREX EXCHANGE and very influential in determining the circulation of world trade.
For the calculation of how to read changes in currency exchange rates USD / JPY as follows:
First, change the value of point is always at the start of the position of minus 7 points to 7 points, the change in value of USD / JPY changes to the transaction at this point is to determine the movement of economic charts europe and asia.
Second, changes in the value of trade and economic sustainability of a country will be tested on this second scale. If you begin to touch on the changes in 21 points, then the value of changes in exchange rates of USD / JPY will be able to touch the value of 43 points, then will experience a correction of data banks, interest rates, investment and other trading factors to the point 51. If we make transactions between points up to 21 and with 43 points, a minimum benefit that we can get from 5 points to secure the point value to 17, if you as an observer who can read the possibility of economic and market growth rates and bank deposits in the ratio of economic value basis, you should take the possibility of 30% of the total estimated value of total profit we will get. So the maximum value that we can take in the scale of secure transactions at 32% of the total estimated profit to reach 20 points in total.
Third, the correction of economic data that has been done by some global investors will affect the value of leverage in a world of investment banking transactions, the transaction data will be corrected at point 53 to 66 points, if the total value of transactions in this mid reaches 71 points, then transaction value will increase to reach at number 99 points, If we make transactions between points to 71 up to 99 points, a minimum benefit that we can get from 5 points to secure the point value to 25, if you as an observer who can read the possibility of economic and market growth rates in banks and time deposits in comparative economic value basis, you should take the possibility of 30% of the total estimated value of total profit we will get. So the maximum value that we can take in the scale of secure transactions at 32% of the total estimated profit to reach 20 points in total. So the minimum value point advantage we can get from the transaction between points to 71 up to point to 99 is 7 or 8 points only. But if you include a player who likes to do forex transactions that are like the challenge with a high income, certainly you will do the open position until it reaches the maximum value of the transaction. As a safety tips you can do is start a transaction in this exchange with 2-way clearing transactions by opening the first position to second position with a distance of 4 point advantage at the minimum, and always wear a trailing stop as the security level of your position in this transact in order to prevent large losses with expected profit as much as possible (less is sometimes better than no gain at all from the value of this transaction.)
HOW TO CALCULATE THE VALUE OF CHANGES IN GBP/USD
in this time I will explain what and how to determine the price when we play in GBP currency to USD. basically all a country's economy is not that different from countries other, but they always have differences in handling the economic problems of their own with their country and what could affect their economies. like what we know today among the countries economy is very strong country, including states that English can say a country is very high potential in determining the rotation of the world economy. for example the UK ranked second only arab country to sell the value of its currency is to touch the level of 298 points in average daily transactions of capital markets and world currency markets, for example at the level of English occupying 18,700 rupiah currency exchange rate against foreign currencies Indonesia. This shows that the British state is very strong in the fields of economy, especially with the supporters of English has a bersekala BANK in the world and acknowledged as a state treasure that could save its customers from any country. of those stories that we get we should be able to read that the British state is very strong in the economic and state administration, so when all the countries at the beginning of the opening day of the week in the capital markets and world currency markets in the UK is always occupied in the early 17-point opening, if the opening price was high Ingris in average selling its interest rate value automatically in the price range of 27 to 43 points pertransaksinya. if the British currency exchange rates in stage 43-point he sped up to 67 points then BGP will be able to touch the 121 point level, now you may ask why the rate of increase in the movement of currency exchange rates could be achieved exchange rate very high? average speed and increase the value of the GBP was minimal in the range of 27 to 43 points was the smallest, while the average daily exchange rate in the range from 64 to 87 score points, whether this exchange yet you know?? please read the economic level of income per person in the UK, you probably just can not believe that the economy of the country is very high compared developed countries, even very rare CAD could match the British economy, and at the end of the closing price of the currency usually GBP was always able to touch the level of 378 points in the closing per week. can you imagine a country with a very strong economy, even countries that can guarantee the money of any country that invested into english country (in terms of storing wealth of the state or someone who kept his money in the country). this is one proof of evidence is that the British state is in economic conditions are very setabil. and in the calculation of the rise and fall sekematis per point and in the range of levels as follows:
if the opening price of GBP in the range of 9 to 17 points, then the exchange rate
GBP currency will be touched in the range of 67 points.
GBP if in the mid-point of 67 can stay in the range of 77-point exchange
GBP currency will be touched up in the range of 187 points
if the exchange rate of GBP that can last up to touch the 187-point level
the GBP will be able to penetrate up to 297 point level, and it got
touching up the 399 point level.
I hope the summary calculations and exchange rate GBP to USD was able to give you all the prices before you decide to trade in the stock market and currency markets.
Although some retail dealers trade exotic currencies such as the Thai baht or the Czech koruna, the majority trade the seven most liquid currency pairs in the world, which are the four majors:
EUR/USD (euro/dollar)
USD/JPY (dollar/Japanese yen)
GBP/USD (British pound/dollar)
USD/CHF (dollar/Swiss franc)
and the three commodity pairs:
AUD/USD (Australian dollar/dollar)
USD/CAD (dollar/Canadian dollar)
NZD/USD (New Zealand dollar/dollar)
These currency pairs, along with their various combinations (such as EUR/JPY, GBP/JPY and EUR/GBP) account for more than 95% of all speculative trading in FX. Given the small number of trading instruments - only 18 pairs and crosses are actively traded - the FX market is far more concentrated than the stock market.
HOW TO READ THE CHANGE IN VALUE OF CURRENCY TRADING
Monday, November 8, 2010
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