Ən yaxşı ikili seçim brokeridir!
Pulsuz təlim və demo hesabı!
To begin, let’s be clear: you can make a consistent income by trading binary options. It is certainly possible to generate a substantial profit. Savvy traders do this every day by trading binary option ranging from oil to gold to stocks and currency pairs.
Now, the question is: is it easy to make money as many websites and brokers claim?
A quick look at a handful of binary options brokers gives you the impression that all you have to do to make a profit while trading binary option is to create an account. Some brokers proudly announce that a return of 70% can be generated in minutes. Also, this can probably be done again and again during the day. It is hard to ignore, especially when other forms of an investment offer much lower returns. But if you can make money with binary options trading, it’s essential to have a real strategy.
The strategy is one of the most critical factors if you want to succeed binary options trading. It is the structure from which economic decisions are based, including the rules of money management, and how to make money with the market. Unfortunately, there is no winning strategy; if there were any; we will all be using it. However, you can develop your strategy based on your knowledge, expertise, and consistent learning.
What is the importance of having a binary options strategy?
If you decide to start trading binary options with your instinct and guesswork, the truth is, you will not make any money. Binary options cannot be traded with emotions believing that you will be lucky. You will reasonably lose a lot. So, while it is not necessary to have a strategy to trade binary options, an analysis and improvement strategy offers you a structured way to maximize the positive aspects of your trading and money management strategies while correcting or removing inefficient elements of your strategies. This allows you to become more profitable in the long run and adapt to changing market conditions.
Without this, your account balance may reach zero, even if you have an excellent trading strategy in place. Losing thongs and unprofitable exchanges are part of life, so it is necessary to have a strategy that takes into account these inevitabilities. It means managing your money to maximize your profits, limit your losses, and, most importantly, return to a profitable position after a bad zone.
The second reason for having a trading strategy is that it allows you to benefit from repetition. Without this type of strategy, you probably will not know what worked or why. Even if it did, it would be hard to repeat.
A trading strategy ensures that your transactions are based on clear and logical thinking while ensuring that there is a pattern that can be repeated, analyzed, optimized, and adjusted.
Develop a binary options strategy without risking money
As explained above in this article, a binary options strategy is essential if you want to operate profitably. This gives a structure to your trading, removes the emotion-based decision-making process, and allows you to analyze and develop.
Ən yaxşı ikili seçim brokeridir!
Pulsuz təlim və demo hesabı!
How do you know whether a strategy will work without risking your money? After all, how can you know that a strategy does not work without trying it? If you try a strategy that does not work with your money, you will lose it. This could result in the available funds being exceeded before the end of the test phase, which will leave you with nothing to succeed and be profitable; you must have a binary options strategy.
There is one solution: a binary options demo account. All reliable and useful quality brokers and trading platforms offer demo accounts. They allow you to test the platform, but most importantly, to test your trading strategies using the actual market conditions. The test is done using virtual money for you, so there is no real money involved. Of course, you cannot even make money, but that’s not the question. The benefit of a demo account is to consolidate a profitable binary options strategy.
Real-Time Binary Options Chart Strategies
Generally, binary options are relatively short-term investments that require research and technical analysis. For this reason, the analysis and interpretation of binary options charts are extremely important for the success of any trader, as it will be challenging to be profitable without knowing the details of reading charts and technical analysis.
vfxAlert signals can provide additional assistance in the analysis. Binary options signals serve to confirm your strategy and help you make the right decision about the deal.
The strategy simplifies your exchanges, eliminates the uncertainties related to the choice of the trade, and reduces the overall risk.
Having a trading strategy for the binary options market requires a fundamental understanding of how the market operates in terms of available commercial contracts, various expiry times, and an understanding of the behaviour of individual assets.
No doubt, binary options offer opportunities in all market conditions. And they do it. From the top or the bottom of the market trend to flat or fork markets, or even the most volatile or unpredictable markets, there is a need for you to have a strategy before trading binary options.
However, it is imperative to understand which strategy to use in each situation, and in each event, you must have a well thought out strategy for each market situation.
MACD and Stochastic: A Double-Cross Strategy
Ask any technical trader and they will tell you the right indicator is needed to effectively determine a change of course in a stock’s price patterns. However, anything one “right” indicator can do to help a trader, two compatible indicators can do better.
This article aims to encourage traders to look for and identify a simultaneous bullish MACD crossover along with a bullish stochastic crossover and use these indicators as the entry point to trade.
- A technical trader or researcher looking for more information can benefit more from pairing the stochastic oscillator and MACD, two complementary indicators, than by just looking at one.
- Separately, the two indicators function on different technical premises and work alone; compared to the stochastic, which ignores market jolts, the MACD is a more reliable option as a sole trading indicator.
- However, the stochastic and MACD are an ideal pairing and can provide for an enhanced and more effective trading experience.
Pairing the Stochastic and MACD
Looking for two popular indicators that work well together resulted in this pairing of the stochastic oscillator and the moving average convergence divergence (MACD). This team works because the stochastic is comparing a stock’s closing price to its price range over a certain period of time, while the MACD is the formation of two moving averages diverging from and converging with each other. This dynamic combination is highly effective if used to its fullest potential.
Working the Stochastic
The history of the stochastic oscillator is filled with inconsistencies. Most financial resources identify George C. Lane, a technical analyst who studied stochastics after joining Investment Educators in 1954, as the creator of the stochastic oscillator. Lane, however, made conflicting statements about the invention of the stochastic oscillator. It’s possible the then-head of Investment Educators, Ralph Dystant, or even an unknown relative from someone within the organization, created it.
A group of analysts most likely invented the oscillator between Lane’s arrival at Investment Educators in 1954 and 1957, when Lane claimed the copyright for it.
There are two components to the stochastic oscillator: the %K and the %D. The %K is the main line indicating the number of time periods, and the %D is the moving average of the %K.
Understanding how the stochastic is formed is one thing, but knowing how it will react in different situations is more important. For instance:
- Common triggers occur when the %K line drops below 20—the stock is considered oversold, and it is a buying signal.
- If the %K peaks just below 100 and heads downward, the stock should be sold before that value drops below 80.
- Generally, if the %K value rises above the %D, then a buy signal is indicated by this crossover, provided the values are under 80. If they are above this value, the security is considered overbought.
MACD And Stochastic: A Double-Cross Strategy
Working the MACD
As a versatile trading tool that can reveal price momentum, the MACD is also useful in the identification of price trends and direction. The MACD indicator has enough strength to stand alone, but its predictive function is not absolute. Used with another indicator, the MACD can really ramp up the trader’s advantage.
If a trader needs to determine trend strength and direction of a stock, overlaying its moving average lines onto the MACD histogram is very useful. The MACD can also be viewed as a histogram alone.
To bring in this oscillating indicator that fluctuates above and below zero, a simple MACD calculation is required. By subtracting the 26-day exponential moving average (EMA) of a security’s price from a 12-day moving average of its price, an oscillating indicator value comes into play. Once a trigger line (the nine-day EMA) is added, the comparison of the two creates a trading picture. If the MACD value is higher than the nine-day EMA, it is considered a bullish moving average crossover.
It’s helpful to note there are a few well-known ways to use the MACD:
- Foremost is the watching for divergences or a crossover of the center line of the histogram; the MACD illustrates buy opportunities above zero and sell opportunities below.
- Another is noting the moving average line crossovers and their relationship to the center line.
Integrating Bullish Crossovers
To be able to establish how to integrate a bullish MACD crossover and a bullish stochastic crossover into a trend-confirmation strategy, the word “bullish” needs to be explained. In the simplest of terms, bullish refers to a strong signal for continuously rising prices. A bullish signal is what happens when a faster-moving average crosses up over a slower moving average, creating market momentum and suggesting further price increases.
- In the case of a bullish MACD, this will occur when the histogram value is above the equilibrium line, and also when the MACD line is of greater value than the nine-day EMA, also called the “MACD signal line.”
- The stochastic’s bullish divergence occurs when %K value passes the %D, confirming a likely price turnaround.
Crossovers in Action: Genesee & Wyoming Inc.
Below is an example of how and when to use a stochastic and MACD double-cross.
Note the green lines showing when these two indicators moved in sync and the near-perfect cross shown at the right-hand side of the chart.
You may notice a couple of instances when the MACD and the stochastics are close to crossing simultaneously: January 2008, mid-March and mid-April, for example. It even looks like they did cross at the same time on a chart of this size, but when you take a closer look, you’ll find they did not actually cross within two days of each other, which was the criterion for setting up this scan. You may want to change the criteria so you include crosses that occur within a wider time frame so you can capture moves like the ones shown below.
Changing the settings parameters can help produce a prolonged trendline, which helps a trader avoid a whipsaw. This is accomplished by using higher values in the interval/time-period settings. This is commonly referred to as “smoothing things out.” Active traders, of course, use much shorter timeframes in their indicator settings and would reference a five-day chart instead of one with months or years of price history.
First, look for the bullish crossovers to occur within two days of each other. When applying the stochastic and MACD double-cross strategy, ideally, the crossover occurs below the 50-line on the stochastic to catch a longer price move. And preferably, you want the histogram value to already be or move higher than zero within two days of placing your trade.
Also note the MACD must cross slightly after the stochastic, as the alternative could create a false indication of the price trend or place you in a sideways trend.
Finally, it is safer to trade stocks trading above their 200-day moving averages, but it is not an absolute necessity.
The advantage of this strategy is it gives traders an opportunity to hold out for a better entry point on up-trending stock or to be surer any downtrend is truly reversing itself when bottom-fishing for long-term holds. This strategy can be turned into a scan where charting software permits.
With every advantage of any strategy presents, there is always a disadvantage. Because the stock generally takes a longer time to line up in the best buying position, the actual trading of the stock occurs less frequently, so you may need a larger basket of stocks to watch.
The stochastic and MACD double-cross allows the trader to change the intervals, finding optimal and consistent entry points. This way it can be adjusted for the needs of both active traders and investors. Experiment with both indicator intervals and you will see how the crossovers will line up differently, then choose the number of days that work best for your trading style. You may also want to add a relative strength index (RSI) indicator into the mix, just for fun.
Индикатор для бинарных опционов MACD (индикатор MACD)
Полное название этого интересного и полезного инструмента технического анализа – Moving Average Convergence/Divergence. Его разработал Джеральд Аппель в конце 70-х годов 20 века. Судьба разработчика не менее интересна, чем его изобретение. Он был простым психоаналитиком, которому надоела его финансовая нестабильность. Поэтому он решил попробовать свои силы на финансовом рынке. В итоге получилась ещё одна история успеха. Обычный человек смог изменить свою жизнь, стать успешным трейдером и заработать свой миллион!
Первоначально индикатор бинарных опционов MACD состоял из двух кривых линий. Немного позднее Томас Эспрей дополнил его гистограммой, чтобы получать ещё более точные сигналы. Вот как выглядит MACD сейчас на живом графике:
Кривые линии индикатора – это скользящие средние. У них очень сложная формула для расчёта. Одна линия краткосрочная (быстрая), вторая линия долгосрочная (медленная). Гистограмма, которая рисуется относительно нулевой отметки, отображает расхождения между кривыми линиями и ценой актива. Если гистограмма растёт, значит и стоимость актива растёт. А если гистограмма падает, значит и цена снижается.
Теперь стоит поговорить о самих средних скользящих линиях. Голубая линия имеет название MACD, оранжевая линия называется сигнальной. По умолчанию они имеют свои настройки. Но при желании каждый трейдер может менять их самостоятельно.
Сигналы индикатора MACD на живом графике :
– если голубая линия MACD пересекает оранжевую линию сверху вниз, можно открывать опцион PUT .
– если голубая линия MACD пересекает оранжевую линию снизу вверх, можно открывать опцион CALL .
Не удивительно, что индикатор MACD приобрел огромную популярность у новичков-трейдеров. В отличие от большинства сложных инструментов технического анализа, сигналы у МАКД расшифровываются легко и наглядно.
Основной сигнал – пересечение двух линий. Это Экспоненциальные скользящие средние. Основная линия MACD вычисляется за счет среднего значения между МА 12 и 26. У сигнальной скользящей средней период 9. Опытные профи иногда меняют эти значения для достижения более точных сигналов. Новичкам же будет достаточно базовых настроек.
Второстепенный сигнал заключается в пересечении гистограммы или скользящих средних с нулевым уровнем.
Третий – дивергенция. Ее достаточно сложно распознать без опыта. Но профи любят их именно за практически 100% успешную отработку сигналов. Это расхождение показаний индикатора с ценой. То есть, цена растет, а MACD падает, и наоборот. Такая ситуация на рынке предшествует скорейшему развороту тенденции на противоположную, о которой сигнализирует именно индикатор MACD.
Лучше всего МАКД показывает себя при волатильном рынке. Когда цена спокойно консолидируется в рамках узкого горизонтального боковика, лучше переждать, так как есть риск появления ложных сигналов.
Ən yaxşı ikili seçim brokeridir!
Pulsuz təlim və demo hesabı!