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An investmentfonds wikipedia free fund also index tracker is a mutual fund or exchange-traded fund ETF designed to follow certain preset rules so that the fund can track a specified basket johann pfeiffer iforex underlying investments. Index funds may also have rules that screen for social and sustainable criteria. An index fund's rules of construction clearly identify the type of companies suitable for the fund. Additional index funds within these geographic markets may include indexes of companies that include rules based on company characteristics or factors, such as companies that are small, mid-sized, large, small value, large value, small growth, large growth, the level of gross profitability or investment capital, real estate, or indexes based on commodities and fixed-income. Companies are purchased and held within the index fund when they meet the specific index rules or parameters and are sold when they move outside of those rules or parameters. Think of an index fund as an investment utilizing rules-based investing.

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Projects on forex market

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ARTEMIS PCELL INVESTMENTS

When this rate is reached 4 months later, the transfer is triggered and funds are sent to the UK. This is particularly useful when payment deadlines do not have to be fulfilled. Once the rate is achieved, businesses can be assured that the payment is made just at the right moment. Clients will make such orders with their payment providers in order to monitor currency market movements when they themselves are not able to do so.

This can happen following overnight market sessions when volatility may have occurred and the impact on rates may otherwise be lost if not monitored. This effectively guarantees a minimum rate at which the currency is exchanged. Stop loss orders are often used when there is negative sentiment about currency movements and the risk to exposure of such movements can then be reduced. It should be noted also when locking in an exchange rate that a company could miss out if currency movements go in its favor.

However, normal trading businesses should avoid taking a speculative position either deliberately or through inertia because this can be very costly. If your business trades in overseas markets, you will need to reduce your exposure to unnecessary currency risks.

Let our experienced FX dealers help you with a solution that will protect your bottom line. Your risk per trade will also determine your overall position size per trade. Simply divide your capital at risk with the stop-loss in pips. Although certain market conditions can lead to your stop-loss order not being executed at the set price, most of the time they work just well to prevent losing your entire account on a few trades.

Whether you use time stops, volatility stops, or chart stops, always make sure that your stop-loss level represents a target based on actual price-action and market conditions. This includes placing your stops around support and resistance levels, trend lines, channels, chart patterns, as well as considering the volatility of the pair to let the price enough room to breathe.

Never place your stops based on imaginary percentage or pip amounts. Besides having a clear stop target for your trade, you should also know where to close your position in advance once it gets profitable. Many traders are attracted to the forex market in the first place because of the tremendous leverage that is offered by forex brokers.

As said earlier, always determine your position size and leverage based on the stop-loss in pips, in order to avoid large losses. This is where many novice traders have difficulties with. Moving stop-losses once a trade is already open, exiting early from a profitable trade or simply using too much leverage to increase potential profits are usual mistakes that happen once traders let emotions manage their trades.

If you do your analysis right, have confidence in your entry and exit levels and let the market determine if you were right or wrong. Having a strict and written trading plan that contains not only your trading strategy, but also the way you manage money and risk, can help you to avoid emotional trading.

Keeping a trading journal will help you to identify your weak spots of money management. Analyze your journal entries regularly and identify recurring patterns that lead you to lose money. Are your stop-losses too tight or take-profits too far away, reward-to-risk ratios inappropriate or risk per trades too large?

This will help you fine-tune your money management techniques and become more successful in the future. Money management is perhaps the most important technique traders need to understand when trading the forex market. Although money management is a wide and flexible topic, the mentioned points in this article give you an overview of the basics you need to be aware of as a forex trader. These points alone will already give you a significant trading edge over the majority of forex traders who struggle to become profitable in this market.

We believe in reaching a world of infinite possibilities and we hope to assist you in growing your wealth with confidence. By sharing our dedication, intelligence and passion for trading, we are aiming to be the most trusted financial service provider. Clients and partners will be offered with the most reliable brokerage solutions and investment options. BlueMax Capital is a major provider of online foreign exchange Forex trading services, offering margin FX and commodities trading to individuals and institutional clients world-wide.

Our multi- bank liquidity feed, fast execution and flexible leverage options set us apart as an industry leader. BlueMax Capital is one of the best online Forex trading service providers incorporated in Our website goes www. Primarily BlueMax Capital provides online foreign exchange trading services, offering Currencies, Commodity, Crypto Currencies, and Indexes trading to individual and institutional clients worldwide.

Therefore, we strive to provide high-quality brokerage services so that you can just trade, without being disturbed by anything else. We follow strict business and moral ethics in doing business. We do not interfere in clients trading activity by any means. We do every possible thing to facilitate and make client to be profitable. Time is money, especially on Forex Trading, where each second is valuable.

Therefore, we know how important fast and timely service is. We provide an instant response and support to our valuable clients to achieve success in trading. Only high-level professionals can provide brokerage services.

We value our reputation and always fulfill our obligations toward clients and partners. We use one of the most popular trading platforms MetaTrader 4, which has already proven its reliability over the years of excellent work. BlueMax Capital understands the fact, that different people need different solutions. Our aim is to provide an ultimate solution for traders, investors, and business people and also give them a delightful experience rather than just selling products and services.

BlueMax also aspires to be one of the most respectable and trusted organization. Interested in trading currencies and commodities online but do not have enough time or experience to trade in the market. Our PAMM solution might be a good choice for you. The fund manager trades multiple forex trading accounts using his own capital with the aim of earning profits.

BlueMax Capital identified the need for a new investing tool that can be beneficial for both Fund Managers and Investors. This program gives the opportunity to Fund Managers to showcase their performance and attract funds to be managed, and for Investors to allocate their funds to different Fund Managers, therefore diversifying their risk and enhancing their returns.

The PAMM allows distribution of trades from a single account to a group of sub accounts. So the Fund Managers can trade at his master account and all the trades will automatically be distributed to the group of his managed accounts. The PAMM software uses the ratio based allocation which allows Fund Managers to control over many sub account with variable balance.

This method will allocate positions to sub accounts based on the equity of each sub account. We believe in teamwork, with the passion for excellence and utmost trust. The MT4 application is user-friendly; many forex traders from all over the world use this application for its reliability and versatility.

The MT4 application can be downloaded on the following platforms:. Desktop - Working on with the MT4 application is easy to operate keeping, trading simple and accessible. Web trader - Trading can be done on our website directly in the internet browser without the need to download the MT4 application. Mobile app - Trade anywhere anytime using the mobile applications. We provide Forex Daily Market updates for major currency pairs, with market entry and exit points, approximate target level and with trending news to help traders find opportunities in the market.

A research design is a framework or blueprint for conducting the marketing research project. It specifies the details of the procedures necessary for obtaining the information needed to structure and solve marketing research problems. Cross sectional II. Longitudinal design. Target population: The collection of elements or objects that process the information sought by the researcher and about which inferences are to be made. Elements: An object that possesses the information sought by the researcher.

Sampling unit: The basic unit containing the elements of the population to besampled. Sampling frame: A representation of the elements of the target population. It consists of a list or set of direction for identifying the target population. Extent: Extent refers to the geographical boundaries.

Time: Time is time period under consideration. Ltd, who trade in currency. What are income criteria? In which financial instrument they invest in? Factors they determine before investing. It is the necessary step to determine the factors of currency market impact in Indian economy because of the research project assigned.

Way: In what way are we going to obtain information from the respondent? Personal interview with questioners b. Expert opinion. The preliminary technical analysis was prompted me to consider a sell short position in the pair. In order to assess the macro-economic or fundamental scenario, I opened the economic calendar. I found that two major economic events are due today:. CPI is considered the best gauge for inflation over a specific period of time.

I had plans to conduct an in- depth technical analysis to make a final decision. A long shooting-star candle on the daily chart gave me a preliminary indication for the potential downside risk in near future. After applying Fibonacci extension levels on the daily chart, I came to know that the price took retracement from The current market price is 1.

So i was making my mind to open a sell position around 1. The data is due just a few minutes later. Euro stat report shows that CPI declined to 0. So I decided to conduct an in-depth technical analysis on the pair for a potential buying opportunity. I was excited to see some strong positive divergence within the four-hour timeframe.

Similarly, a strong bearish signal is generated when the price prints HL but the oscillator shows LL. Divergence is considered one of the most authentic tools for technical analysis. An RSI reading below 30 is considered an indication of oversold sentiment while a reading above 70 shows overbought sentiment among traders.

In the oversold market, price mostly takes bullish reversal and vice versa. After getting adequate bullish signals from technical analysis, I checked out the economic calendar. I was found that no major event was due on September A few medium-level economic reports about the US economy were however, scheduled for release on that day.

On September , the report gave the downbeat reading of K; analysts had predicted K new jobs in august. On September ,. On September , the report posted the upbeat reading of I kept the stop-loss at My lot size was 0. In addition, I also keep an eye on fundamental events.

I drew trend lines on the daily chart which showed a downward slope channel in the pair. The slope channel further revealed that the price faced rejection at the channel resistance three times in the recent past. To confirm the bearish sentiment on the pair, I was inserted Fibonacci levels on the daily chart.

Confluence support and confluence resistance are considered the best levels for entry. Based on the repeated rejection around channel resistance and the confluence resistance, I was concluded that his technical analysis as very bearish for the pair. Analysts had predicted 0. The actual outcome came exactly in line with the expectations. In the US basket, the monthly budget statement was due for release. I was placed the stop- loss at 0.

The analysis turned out to be correct and I was got my target within 24 hours. The pattern consists of a head, two shoulders and a neckline. The neckline is derived by joining the peaks of the two shoulders. I decided to wait until the price breaks the neckline, which was around 0. The event was due on Wednesday, September 12, I was conducted some more research to get clues on the RBNZ rate decision.

I learned that the RBNZ was expected to increase the interest rate by 0. Generally speaking, the currency of a country is positively correlated to the interest rate, i. I placed the stop-loss at 0. As expected, RBNZ announced an increase in the benchmark interest rate by 0. I keep the trades open for weeks and months. In August , I noticed some real bullish strength in the Gold price.

Like a professional trader, I planned to conduct thorough technical and fundamental analyses for potential buying opportunity in the precious metal. I found that a classic double-bottom price pattern was obvious on the weekly chart of the yellow metal. Among traders, the Double-Bottom Pattern is considered one of the strongest signals for bullish reversal. However, before making an entry, I wanted to see more confirmation signals through technical indicators and fundamental analysis.

It generates buy or sell signals through the placement of dots. When the dots show below the candles, it means the bulls have started dominating the price and the upside rallies are likely in the near future. Conversely, if the dots show above the candles, then the indicator generates the opposite i. These are more signals for potential bullish reversal.

A number of major economic events pertaining to the US economy were due on August 6. I was decided to wait for the outcomes of the events before opening a buy trade in Gold. A lesser reading is seen as bullish for Gold. The manufacturers in the US received 1. Analysts, however, were expecting a 1.

After getting a couple of strong bullish signals through the technical analysis and downbeat US data, I was finally opened a long buy position in gold. I was bought a 0. This further encouraged me to keep my trade open. Now, I was completely risk-free.

In August, I was come to know about the manufacturing slowdown in China which prompted him to look for potential trade opportunities in precious metals. A PMI reading above 50 shows expansion in the manufacturing activity and vice versa. Since the Asian nation is the largest consumer of the precious metals, investors always tend to sell gold and silver on negative developments relating to China. Moreover, the current level was the last major resistance before the swing high of the previous wave.

Technically, price mostly takes deep correction from the last resistance level before the previous high. China grew at 7. Economists believe that the pace of growth is expected to slow down further during the course of the current year. Slow growth in the Asian nation means low demand for silver and other precious metals. Moreover, the Federal Reserve policymakers clearly indicated in the January meeting that the central bank wanted to drop the entire Quantitative Easing QE program by the end of October this year.

The end of the stimulus means stronger US dollar USD or, in other words, cheaper silver because the prices of commodities are negatively correlated to the dollar. After getting strong bearish signals from both the technical and fundamental analyses, Idecided to go short on silver.

Moreover, I keep a close eye on macro-economic events and daily news releases. Like a typical technical trader, I was first inserted Fibonacci levels into the chart. I was found that 1. I was felt a strong bullish feeling about the pair. However, my technical analysis was incomplete; I was wanted to get some more confirmation signals. I had conducted swing analysis on the daily chart. I found that 1. In the case of. This was the second strong signal for a long-term bullish reversal in the pair.

Therefore, I was feeling very much convinced about the buy trade. Upon further research, I came to know that analysts were expecting a better non- farm payrolls reading as well as a decrease in the unemployment rate for August. According to the median projection of different analysts, non-farm payrolls rose by K in compared to K increase in the month before. The unemployment rate ticked down to 6. In the US morning session, the labor department released the reports showing that non-farm payrolls in the US rose just by 75, in August, missing the median projection of analysts by a long shot.

Moreover, the unemployment rate also rose to 6. I was placed the stop- loss at 1. I bought the pair with a 0. While I know this sounds pretty bleak, it is however a harsh fact of reality. Randomly clicking buttons and entering the market on a whim is only going to guarantee one thing: frustration and multiple losses.

I have been guilty of over-trading myself so I know exactly the dangers that come with it. It is especially difficult in the currency markets when you consider that you have to pay a spread as well every time you get into a position. Beyond that fact however, is the important question of why people over-trade.

Having worked with multiple students worldwide, my conclusion is that most traders hit the button far too many. This is usually a result of losing a few trades in the first place, which typically puts a person on the back foot and creates a level of desperation with need to make the money back and get into a level of profitability. It amazes me how easy it is for people to stop trading when they win straight off the bat, yet they carry on when they are losing because they are so desperate to make those losses back.

How crazy is that? I will stop trading when I win but I will carry on when I lose! The last consideration we have to take into account here is that many of us just lack the patience to wait for the right set up. If you want to earn income trading, you have to have a trading plan that does not require constant activity in taking trades.

Most time is spent waiting for the right set up which will offer the maximum reward and the lowest possible risk, with a high level of probability involved as well. When markets are moving frantically, it can be difficult to sit on your hands and wait for the best time to pick your spot. Yes, patience takes time to develop but as they say, the best things in life are worth waiting for.

Taking small loss after small loss can add up and, while we have to prevent the large loss from happening, it is also vital to recognize that a multitude of small losses can start to add up to one large loss over a longer period of time. Many traders I encounter use tight stop losses because they are trying to get cheap entries into the market and huge rewards.

While there are rare occasions when you can get away with a minimal. The key here is giving yourself enough room for the trade to work, while also knowing when to get out if you are wrong. You should also ask yourself the question of whether you are following a trade plan when you find and place your trades. If you are following a plan, you should know your specific entry price, stop loss price and target all before you even place your order. Randomly taking a trade and applying a stop loss and target is no guarantee of success because you should only enter a position at the key moment when the lowest risk and the highest probability of success are present.

An inability to time the market means you will have a low success rate in your trades making it unlikely that you are ever going to achieve your short-term income or long-term wealth goals that you set out in advance. This alone prevents a multitude of unnecessary stop losses. It is a frustrating time when traders go through the syndrome of feeling like every time they place a trade the market is against them.

If you have had some education however, then well for you! This is the very first step in making sure that you are on the right track and will, no doubt, give you the best chance of success in the long term. It should be recognized though that getting an education is step one. The second step is being consistent enough in your actions by sticking to one proven strategy time and time again.

It can be tempting to keep reworking your system to maximize results, especially if you go through the occasional losing period. By doing this level of ground work you will discover the best course of action that suits your style and psychology when trading. Many traders just fail to stick to one thing long enough to give themselves time to really figure out what works because, after all, consistency is the true key to successful market speculation.

I hope we found the topics in this article helpful in overcoming some of the hurdles that we may be facing in our own trading experience. Hopefully, if we have been enjoying success up until this point, then we can use these guidelines to know what not to do in the future.

It has provided me with learning opportunity about currency market and various currency exchanges. The project involved gaining information about various currency exchanges and getting awareness about various terminologies associated with them such as trading in forex market, technical analysis, fundamental analysis, client interaction, etc.

After i began to use the personal network of my friends and asked them to speak to their acquaintances — personal and official and check if they know anything about currency market. The currency market trends, the rising currency prices giving rise to inflation, how some currency linked are to linked with an economy also helped me a lot to gain more knowledge about currency market.

By handling the project under the guidance of company guide and faculty guide has given me exposure of organizational culture and environment. On the whole, I understood the psyche of prospective and current trends of the market. In the beginning of the project I was a bit uncomfortable as I did not know anything about currency market, but the project has made me realize that to reach heights of success and position you have to start from the scratch.

Contribution to host organization and recommendations After such observation and some conclusions made on the basis of that I would like to recommend some important points, upon which company should focus and try to grow its business by tapping the market through making new customers. In this recommendation part of this project work I am suggesting these points. First thing which I would like to suggest is the company should focus on its promotional forces, so that it would be able to convey the product features to the company people.

Once the features will be exposed then only it can make new customers. Through the survey responses we knew that advertisement is the most effective medium of creating awareness. So to differentiate our product and to expose our exclusive benefits we need to take it out in front of the people. As the world shrinks, there is an ever-increasing likelihood that we will be required to address the risks associated with the fact that there are different currencies used all around the world and that these currencies will have an immediate impact on our world.

We must be able to evaluate the effects of, and actively respond to, changes in exchange rates with respect to our consumption decisions, investment portfolios, business plans, government policies, and other life choices both financial and otherwise. Moreover, there is an ever-increasing probability that we will have to transact in these foreign exchange markets—in our personal or professional life.

This book has been intended to assist with this potentially new and doubtlessly confusing milieu. The words that were written by Claude Tygier some 20 years ago are as true today as they were then:. Perhaps that is why I enjoy learning foreign exchange.

It is gratifying to empower people with a new language and to assist them in entering and actively participating in a world that I believe is truly fascinating. References and Bibliography Bibliography 1. References Books referred for the study 1. Currency trading for dummies by Mark Galant and Brian Dollan. NCFM currency future module. Learn more about Scribd Membership Home. Read free for days Sign In. Much more than documents.

Discover everything Scribd has to offer, including books and audiobooks from major publishers. Start Free Trial Cancel anytime. Forex market Project. Uploaded by Datta K Kakarwar. Document Information click to expand document information Date uploaded Apr 13, Did you find this document useful? Is this content inappropriate? Report this Document. Flag for Inappropriate Content. Download now. Save Save Forex market Project. Related titles. Carousel Previous Carousel Next.

Jump to Page. Search inside document. Table of contents Sr. Accessibility You can start trading Forex with a relatively small amount of capital and this is truly one of the main benefits of Forex. Liquidity Forex is the most liquid market in the World.

Technological development Software advancement is definitely one of the most important benefits of Forex trading. Short trades While the above mentioned Forex advantages are quite important, selling currencies without acquiring them first is one of the main benefits of Forex trading.

Leverage When it comes to trading, the rule of thumb is — the bigger your capital, the larger your trade size. Flexibility Forex exchange markets provide traders with a lot of flexibility. Unrestricted demo account Unlike many other providers of financial services, Forex brokers let you preview their services and test your trading knowledge on a practice account.

Forex trend trading strategy Trend represents one of the most essential concepts in technical analysis. Upward 2. Downward 3. Forex range trading strategy Range trading strategy, which is also called channel trading, is generally associated with the lack of market direction and it is used during the absence of a trend.

Technical indicators in forex trading strategy Technical indicators are calculations which are based on the price and volume of a security. Forex volume trading strategy Volume shows the number of securities that are traded over a particular time.

Multi time frame analysis strategy Using Multiple Time Frame Analysis suggests following a certain security price over different time frames. Forex trading strategy based on fundamental analysis While technical analysis is focused on the study and past performance of market action, Forex fundamental analysis concentrates on the fundamental reasons that make an impact on the market direction. Forex day trading strategy Day trading strategy represents the act of buying and selling a security within the same day, which means that a day trader cannot hold any trading position overnight.

Forex scalping strategy Forex scalping is a day trading strategy which is based on quick and short transactions and is used to make many profits on minor price changes. For the current trading session, the pivot point is calculated as: The basis of daily pivots is to determine the support and resistance levels on the chart and identify the entry and exit points. Momentum trading strategy Momentum trading is actually based on finding the strongest security which is also likely to trade higher.

Carry trade strategy Carry trade is a strategy through which a trader borrows a currency in a low interest country, converts it into a currency in a high interest rate country and invests it in high grade debt securities of that country. Forex hedging strategy Hedging is generally understood as a strategy which protects investors from occurrence of events which can cause certain losses.

Why Forex Risk Management Is Important Risk management is one of the most key concepts to surviving as a forex trader. Controlling Losses One form of risk management is controlling your losses. The Bottom Line Risk management is all about keeping your risk under control. Increase your competitive advantage and protect your business from volatile exchange rates with these 3 currency risk management tools: 1.

Forward contract A forward contract eliminates the risk of exchange rate fluctuation by allowing the user to hedge expected foreign currency transactions by locking in a price today for a transaction that will take place in the future. Limit orders A limit order can be used to set the ideal exchange rate at which to buy a particular currency.

Consider reward to risk ratios of trades Besides having a clear stop target for your trade, you should also know where to close your position in advance once it gets profitable. Use leverage wisely Many traders are attracted to the forex market in the first place because of the tremendous leverage that is offered by forex brokers. Keep a trading journal and learn along the way Keeping a trading journal will help you to identify your weak spots of money management.

Integrity We follow strict business and moral ethics in doing business. Efficiency Time is money, especially on Forex Trading, where each second is valuable. Professionalism Only high-level professionals can provide brokerage services.

Our vision BlueMax Capital understands the fact, that different people need different solutions. PAMM Solution Interested in trading currencies and commodities online but do not have enough time or experience to trade in the market. The MT4 application can be downloaded on the following platforms: 1.

Market Updates We provide Forex Daily Market updates for major currency pairs, with market entry and exit points, approximate target level and with trending news to help traders find opportunities in the market. Research Design 1.

Exploratory research 2. In conclusive research design two types a. Causal research b. Research design: Conclusive research 1. Exploratory research: - a. Secondary research b. Qualitative research I. Focus group interview II. In-depth interview 2. Elements: investors of currency market. Who: who are respondent? What: what information should be obtained from the respondent? A wide variety of information could be obtained, including: a. When: when should the information is obtained from the respondent?

Where: where should the respondent is contacted to obtain the required information? Why: why are we obtaining information from the respondent? Fundamental Analysis In order to assess the macro-economic or fundamental scenario, I opened the economic calendar. I found that two major economic events are due today: 1. Analysis The current market price is 1. Positive Divergence I was excited to see some strong positive divergence within the four-hour timeframe. Fundamental Analysis After getting adequate bullish signals from technical analysis, I checked out the economic calendar.

Technical Analysis I drew trend lines on the daily chart which showed a downward slope channel in the pair. Technical Analysis Double bottom price pattern I found that a classic double-bottom price pattern was obvious on the weekly chart of the yellow metal. Fundamental Analysis A number of major economic events pertaining to the US economy were due on August 6. Factory Orders The manufacturers in the US received 1. Macroeconomic Scenario China grew at 7.

Technical Analysis Like a typical technical trader, I was first inserted Fibonacci levels into the chart. End Result In the US morning session, the labor department released the reports showing that non-farm payrolls in the US rose just by 75, in August, missing the median projection of analysts by a long shot. Documents Similar To Forex market Project. Miir Viir. Bill Neil. Shaikh Fahad. Hemal Shah. Padyala Sriram. Mohd Atif. Sushil Alewa. Raj Yadav.

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