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An investor who believes that prices are going to rise. Bull market A market distinguished by rising prices.
Bull Spread In most commodities and financial instruments, the term refers to buying the nearby month, and selling the deferred month, to profit from the change in the price relationship. Bulldogs Sterling bonds issued in the UK by foreign institutions. Bundesbank Central bank of Germany. Butterfly spread: i A futures butterfly spread trade in which multiple futures moths are traded simultaneously at a differential.
The trade basically consists of 2 futures spread transactions with either 3 or 4 different futures months at one differential. The trade basically consists of 2 options-spread transactions with either 3 or 4 different options months and strikes are one differential. Buy Purchase.
A transaction type that indicates you wish to make a purchase or to go long. Opposite of selling or going short. Buy limit A conditional trading order that indicates a security may be purchased only at the designated price or lower.
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The execution of either alternative will result in the cancellation of the other. Buy and sell instructions cannot be combined. Normally placed as limit and stop surrounding current market price. Buy On Close To buy at the end of a trading session at a price within the closing range. Buy On Opening To buy at the beginning of a trading session at a price within the opening range. Buy position A commitment to buy a given amount of a financial instrument.
Buy Spread A transaction type you choose to indicate an option buy spread. Buy stop When you buy a security which is entered at a price above the current offering price. It is triggered when the market price touches or goes through the buy stop price.
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The buyer may also be referred to as the option holder. Buy-side trader An individual, such as a pension or mutual fund portfolio manager, who affects trades for an institutional investor. By-products Products generated from the same raw materials. Cabinet trade A trade that allows options traders to liquidate deep out-of-the- money options by trading the option at a price equal to one-half tick. CAC Bināro opciju forti market capitalisation weighted index of the top 40 companies listed in the Paris stock exchange.
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Calendar spread Buying selling the calendar spread involves the simultaneous purchase sale of contract s in a near delivery month and the sale purchase of an equal number of contract s in a far delivery month of the same futures contract. Call A period of trading. Call Option An option that gives the buyer the right, but not the obligation, to purchase go "long'' the underlying futures contract at the strike price on or before the expiration date.
The buyer taker pays the seller grantor a Premium for this. Calmar Ratio A ratio used to determine returns relative to drawdown´s downside risk in a futures portfolio or other similar investment vehicles.
The Calmar ratio is determined by dividing the compounded annual return by the maximum drawdown, using the absolute value. Generally speaking, the higher the Calmar ratio the better. Some programs have high annual returns, but they also have extremely high drawdown risk. This ratio helps determine return darījumu kopēšana no mt5 uz mt5 a downside risk—adjusted basis. Most Calmar ratios utilize three years of data. Cancelling Order An order that removes a customer's previous order from the market.
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Candlestick chart Identical to a bar chart in the information conveyed, but presented in a way to describe price movements. A visual representation of the prevailing trend and current market sentiment. Cap An agreement with a counterparty that sets an upper limit to interest rates for the cap buyer for a stated time period. Capital Guarantee Fund An investment vehicle offered by certain institutions that guarantees the investor´s initial capital investment from any losses.
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Even though these products prevent investors from losing their invested capital, they also limit the amount of return that investors can obtain if the investments appreciate. This is how the offering institutions can afford to guarantee the principal investment. Capitalisation See Market capitalisation.
Also known as a bonus or scrip issue. Capital market The market for medium- and long-term securities. Carry The interest cost of financing securities held. Carry trade A strategy in which a trader sells a certain currency with a low interest rate and uses the funds to purchase a different currency yielding a higher interest rate, attempting to capture the difference between the rates. Carrying Broker A member of a futures exchange, usually a clearinghouse member, through which another firm, broker or customer chooses to clear all or some trades.
Carrying Charge Cost To Carry For physical commodities such as grains and metals, the cost of storage space, insurance, and finance charges incurred by holding a physical commodity. In interest rate futures markets, it refers to darījumu kopēšana no mt5 uz mt5 differential between the yield on a cash instrument and the cost necessary to buy the instrument. See Basis Cash and carry An arbitrage transaction involving the simultaneous purchase of a cash commodity with borrowed money and the sale of the appropriate futures contract.
Cash Commodity An actual physical commodity someone is buying or selling, e.
Also referred to as actuals. Cash Contract An actual physical commodity someone is buying or selling, e. Cash Delivery Same day settlement.
Cash market The market in the actual financial instrument on which a futures or options contract is based. Cash market The actual, underlying market on which derivatives contracts are based. Cash on Cash Return A rate of return commonly used in real—estate transactions. The calculation determines the cash darījumu kopēšana no mt5 uz mt5 on the cash invested: Cash on Cash returns equal the annual dollar income divided by the total dollar investment. Cash price also see Darījumu kopēšana no mt5 uz mt5 The price of an asset for immediate delivery.
In other words, the actual price of an instrument right now; this term is often used for stock daudz žetonu, whereas the synonymous term of spot is more often applied to forex and commodity prices.
Cash Settlement Final disposition of open positions on the last trading day of a contract month. Occurs in markets where there is no actual delivery. Central bank A government or quasi-governmental organisation that manages a country's monetary policy. Certificate of deposit CD A negotiable certificate issued by a commercial banks evidence of a deposit with that bank which states the maturity value, maturity rate and interest rate payable. CDs vary in size with maturities ranging from a few weeks to stratēģijas tauriņu variants years.
CDs may normally be redeemed before maturity only by sale on the secondary market but may also be redeemed back to the issuing bank through payment of a penalty. CFD Contracts for difference CFDs are derivative products which enable you to trade on the price movement of underlying financial assets such as indices and commodities. A CFD is an agreement to exchange the difference in the value of an asset from the time the contract is opened until the time at which it darījumu kopēšana no mt5 uz mt5 closed.
With a CFD, you never actually own the asset or instrument you have chosen to trade, but you can still benefit if the market moves in your favour. Channel An upwards or downwards trend whose boundaries are marked by two straight lines. Charting The use of charts to analyse market behaviour and anticipate future price movements. Those who use charting as a trading method plot such factors as high, low, and settlement prices; average price movements; volume; and open interest.
Circuit breaker A procedure that temporarily halts trading on all U. The pause is designed to allow time for the markets to absorb the news that precipitated the decline.
Should the average fall another points within the same day, trading would again be halted, this time for two hours. Clean price The price of a bond not including the darījumu kopēšana no mt5 uz mt5 element. Clear The process by which a clearinghouse maintains darījumu kopēšana no mt5 uz mt5 of all trades and settles margin flow on a daily mark-to-market basis for its clearing member. Clearing The process of matching, registering and guaranteeing transactions.
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Clearing Margin Financial safeguards to ensure that clearing members usually companies or corporations perform on their customers' open futures and options contracts. Clearing margins are distinct from customer margins that individual buyers and sellers of futures and options contracts are required to deposit with brokers. Clearing Member A member of a clearinghouse.
Memberships in clearing organizations are usually held by companies. Clearing members are responsible for the financial commitments of customers that clear through their firm. All trades of a non—clearing member must be registered and eventually settled through a clearing member.
Clearing House An exchange-associated, usually independent organisation through which all contracts are made, offset and delivered. Close The period at the end of the trading session. Sometimes used to refer to the closing range. Close out A transaction which leaves the trade with a zero net commitment to the market.
A purchase if the initial transaction was a sale and vice versa. Closing The process of ending an existing trade. Closing a trade results in a profit or loss being realised. Closing Bell Any signal which indicates the conclusion of normal daily trading hours in any commodity. Closing Price The last price of a contract at the end of a trading session.
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Closing range The high and low prices, or bids and offers recorded during the period designated by the exchange as the official close of trading in a given pit the final 60 seconds of trading in currencies and 30 seconds in all other contracts. Closed position A transaction which leaves the trade with a zero net commitment to the market with respect to a particular currency. Cluster Analysis An investment approach that places investment instruments into groups based on the correlation found among their returns.
Instruments with high positive correlations are grouped together and segregated from those with negative correlation. Between each cluster, very little correlation should exist. Holding investments in each cluster provides the investor with a diversified portfolio.
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Cluster analysis enables the investor to eliminate any overlap in his or her portfolio by identifying securities with related returns. This approach increases diversification, which provides the investor with a less risky portfolio. Collar A combination of a cap and a floor. A collar sets a band within which interest rates will apply e.