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Automated Trading Workshop
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Forex Interbank Volatility Trading Course: 2 Days
£10,000.00
- Executing a Day/Weekly Trading Forex System
- Step-By-Step Guide to Analytical Mechanical Currency Trading
- Executing the Strategy. Practical Implications. (This is not a shortcut millionaire type seminar. Some elements will be difficult and the material/strategy requires you to actively/reflexively think.)
The purpose of this course is to train you to act in an professional way and treat trading like a business.
Agenda
- Set up the strategy and adhere to a a list of objectives within a plan.
- Constantly stay Disciplined. How to make it a fixed item. To do this without emotions with a set idea and notion.
- Setting up the risk management plan and learn how to manage the risk correctly.
- Build Confidence in the system so that you can take the trades when you see them.
- Become a human robot trader and generate your own signal readings..
- The starting goal is to set target profit potential between £50 and £500 each time you trade and at the same time minimize equivalent losses on a £25k account for a net overall positive return, with occasional £2000 trades.
- The Primary tool will be to use systematic & technical indicators, market map and framework analysis
- The potential to profit must be analysed in the correct risk framework
- All strategies can be tested on a demo account to help build execution skills. Virtual money before real money.
- Checklist to be completed before you risk any cash on actual trades.
- An introduction to Electronic Forex Trading - Hedging vs Speculation market activity. Why knowing this is a core basic technique.
- Why understanding the use of Margin is Key to trading futures successfully.
- Modern order types/ the human edge and simple strategies to use for trading fx vs. trading futures.
- Sensible Risk Management practices for trading FX/futures products
- Key features of The Forex and Futures Execution Strategy
- Key features of Gold, Silver and other Commodity futures that can change the dynamic of using the strategy elsewhere.
- Margins & Portfolio Management. (how many positions, when to add and when to leave)
- Risk Management Methodologies for exit of positions.
Managing Your Volatility / Risk and Psychology
- An explanation of what causes intra minute volatility.
- Why currency trading is different in liquidity measurement when compared to all other markets and how to take advantage of this from a fundamental and technical perspective.
- Risk Management & Psychology that must be applied to foreign exchange trading, why it is different from equity trading.
Dates
- 2022 Dates. - Can be organised to suit your timing. Please email or contact us to organise a suitable date