Trading Strategy "Snood"
The technical method of predicting market fluctuations "Snood" is a strategy (what is trading strategy? ), specially designed for trading operations on the futures market. Its toolkit reacts very well to the smallest changes in value underlying assetThe system has the simplest possible algorithm of operation and generation of trading lots. The system has the simplest possible algorithm of operation and generation trading signalsThe strategy can be tested on the platforms of such reliable companies. The strategy can be tested on the platforms of such reliable Binary options brokershow Binarium, PocketOption or Binomo (bonus 100% to deposit by promo code REVIEWEEK100 - Activate).
How does the system work?
To use the system on the futures market, you need to create a working system template, which is based on the work of high-tech automatic indicators capable of evaluating the market on a large volume of indicators. Such services are not offered today on professional terminals for futures trading, so we suggest you to work on a specialized auxiliary service tradingview.com. To use the information resource live graphs you need to set up an account. After that, open a chart of the asset that is convenient for you to trade, set the timeframe to M1 mode in the settings and apply the following instrumental analysis services to the quotations:
- Triple EMA 20 - With this service we will be able to evaluate the trend movements of the market in three time projections, which maximizes the usefulness of the indicator indicators and allows you to get signals to work at the turning points of the fluctuations in the quotes.
- Hull Moving Average 9 - the short-term moving average will be needed to estimate the minimum market fluctuations by trend, as well as to determine the working corrective movements of the asset's price. Thus, we form a combination set of tools to generate trading signals for futures trading.
- Fisher Transform - To expand the market assessment in the settings of the analysis resource, set the periodicity of assessment of indicators 75. Thus, we will obtain a tool for mid-term evaluation of asset liquidity indicators. The oscillator with such periods of indicators estimation is also necessary as a filter for technical indicators of the main forecast generation services.
After fully setting up the asset chart and the strategy toolkit, you will get a system template of this format:
As you can see, we got a chart that is not overloaded with indicators, which makes the work of the system extremely simple and comfortable. In addition to this, the system, thanks to the auxiliary service, allows you to use it in combination with the platform of any futures market broker. In this way we get a very versatile method of analysis for options trading. As a practical recommendation that allows you to increase the efficiency of trading, we propose to use the system signals on the terminal Binomo operator. Here you will be offered the most favorable trading conditions and contracts with the highest level of profitability.
For operations with urgent CALL rates we use this set of indicators:
- The blue Hull MA muving has broken the green Triple EMA 20 service line upwards
- On the Fisher Transform oscillator a fast technical muving has crossed a slow one to the top, and then began to actively build a divergence between the indicator lines
For operations with urgent PUT rates we use this set of indicators:
- The blue Hull MA muving broke down the green line of the Triple EMA 20 service
- On the Fisher Transform oscillator a fast technical muving crossed the slow downward, and then began to actively build a divergence between the indicator lines
When calculating the most optimal lot expiry period, it is necessary to consider the market volatility of the trading asset, as well as the frame, which is evaluated with the help of the strategy services. We recommend you to use the one-minute period of the chart to work with the system, because in this mode it is possible to use the most effective contracts with the period of redemption 5 minutes — 15 minutes. Thus, in the mode of relatively good dynamics of trade we will make a profit.
To minimize the indicators of possible trading losses, it is necessary to apply the standard rules of risk management, which are based on limiting the price of trading lots. Optimal trading mode in this case are bets, worth no more than 3% of the volume of the working account. If your capital has minimum values, apply lots with the initial value volume.