Showing posts with label Template dinapoli. Show all posts
Showing posts with label Template dinapoli. Show all posts
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Tata Cara Pengurusan Penanaman Modal Asing Di Indonesia

www.bisnis-forex.com- Tata Cara Pengurusan Penanaman Modal Asing Di Indonesia,Bagaimana mengurus izin Penanaman Modal Asing?

Halamn ini bisa membantu Anda dan/atau mitra Anda (orang asing) untuk mengenal lebih dekat proses administrasi investasi asing di Indonesia baik sebagai 100 persen kepemilikan asing ataupun  sebagian.

Tahapan Penanaman Modal

Secara umum, berikut adalah tahapan yang Anda harus lalui untuk melakukan investasi asing di Indonesia.


TAHAP PERTAMA: TAHAP PERSIAPAN

Pada tahap ini atau Tahap Persiapan (istilah yang digunakan BKPM), Anda mengajukan permohonan kepada BPKM tentang rencana penanaman modal asing. Anda bisa juga langsung mengurus izin prinsip pada fase ini. 

Anda menyediakan data dari (calon) investor yang akan melakukan investasi PMA: memberikan informasi tentang bisnis yang akan dikerjakan, modal yang akan diinvestasikan, rencana produksi, proyeksi omset, jumlah tenaga kerja dan nama-nama pemegang saham dari (calon) perusahaan PMA.

Bila permohonan rencana penanaman modal asing Anda diterima, BKPM akan mengeluarkan izin prinsip (IP), yang menjadi dasar bagi Anda untuk mengimplementasikan permohonan rencana PMA Anda.

Lamanya proses pengurusan Izin prinsip ini bisa mulai dari 4 - 7 hari. 

TAHAP KEDUA: TAHAP KONSTRUKSI 

Pada tahap ini, Anda merealisasikan rencana yang sudah dicantumkan di izin prinsip. Misalnya, bila perusahaan PMA belum ada, Anda mendirikan PT. PMA sesuai dengan persyaratan yang telah ditetapkan pemerintah. Anda melengkapi seluruh dokumen, fasilitas, sarana dan pra-sarana untuk merealisasikan rencana PMA.

Ini termasuk sewa atau bangun kantor, pembuatan PT PMA, urus surat keterangan domisili usaha, pengesahan PT PMA, NPWP, izin gangguan (bila diperlukan), UKL/UPL atau AMDAL, API-P, API-U, dan lain-lain. Data-data ini kemudian Anda gunakan untuk mengurus izin usaha tetap (IUT)

Pada tahap ini Anda bisa juga mengajukan permohonan pembebasan pajak atas mesin-mesin yang diperlukan untuk menghasilkan produk dari PT PMA Anda. Tidak semua jenis bisnis bisa mendapatkan fasilitas ini. Anda bisa berkonsultasi dengan konsultan PMA tentang jenis bisnis yang bisa mendapatkan fasilitas ini.

Semua dokumen yang terkait  dengan konstruksi dilakukan pada tahap kedua.

TAHAP KETIGA: TAHAP OPERASI/PRODUKSI

Bila dokumen pada tahap kedua sudah siap dan usaha Anda siap atau 85 persen siap untuk beroperasi, Anda mengajukan permohonan untuk mengurus izin usaha tetap (IUT). Semua dokumen (copy) yang disiapkan pada tahap kedua Anda serahkan ke BKPM. 

Bila semua dokumen sudah dinyatakan ok, BKPM akan menerbitkan izin usaha tetap (IUT).

Lamanya proses pengurusan Izin Usaha tetap ini bisa mulai dari 7 - 10 hari. 

Itulah secara singkat langkah-langkah mengurus izin PMA di BKPM.

Persyaratan Perizinan PMA

Formulir Permohonan
Nama Perusahaan (opsi) bila belum diproses atau data-data perusahaan (akte pendirian, pengesahaan akte (SK Menteri Hukum dan HAM, SK Domisili Usaha, NPWP Perusahaan, SIUP, TDP, dan PKP)
Bidang Usaha 
Nama Pemilik Modal (Min. 2 Orang) dan Presentasi Saham
KTP/Paspor Direktur
KTP Pemilik Saham/ Copy passport pemilik saham
NPWP Pemilik Saham (WNI)
NPWP Direktur (WNI)
Copy Sertifikat Tanah dan IMB bila bangunan adalah milik PT atau copy surat sewa-menyewa bila tempat usaha disewa
Flow Chart mulai dari bahan baku sampai jadi (penjelasan detail) atau deskripsi usaha
Kartu Keluarga bila Dirut adalah Wanita
Foto Direktur Utama 4 Lbr (Ukuran 3x4) dan 4x6 2 lembar 
Nama dan Copy KTP Komisaris
Alamat Domisili Usaha
No. Telepon Perusahaan
Denah Lokasi Tempat Usaha (Bila Perusahaan Menjadi Perusahaan  Kena Pajak (PKP))
Stempel Perusahaan (Bila nama Perusahaan Sudah Disetujui sdep. Hukum dan HAM) 
Surat Pernyataan Pengelolaan Lingkungan
Izin Lingkungan/Gangguan bagi perusahaan yang tidak berdomisili di gedung
Surat kuasa bila pengurusan izin ini dikuasakan kepada perusahaan
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Saham Wall Street Mengalami Kenaikan Selama Lima Hari Berturut-Turut

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Forex Education CenterAnd Investment-SahamWall Street Mengalami Kenaikan Selama Lima Hari Berturut-Turut,Saham AS bergerak lebih tinggi pada hari Rabu, dengan S & P 500 naik untuk Lima hari berturut-turut sebagai perusahaan teknologi yang mengalami rally pada hasil yang kuat, meskipun kelemahan di Boeing membebani. 

Dengan mengawali sesi ini, yang didasari dengan  menanjak naik  dari sekitar 2 persen pada Selasa, S & P 500 naik 4,5 persen selama lima sesi terakhir, meletakkannya di jalur untuk reli lima hari terbesar sejak Desember 2011. 

Nama tech adalah di antara yang menguat terbesar dalam pasar sehari ini setelah kedua Yahoo Inc (YHOO.O) dan Broadcom (BRCM.O) mengalahkan ekspektasi pendapatan. Saham Broadcom naik 7,2 persen menjadi $ 40,01 sementara Yahoo naik 5,7 persen pada $ 42,47; dua terdiri atas S & P 500 top gainers persentase. 

Saham bahan .SPLRCM juga unggul pada hariin i, naik 0,6 persen, setelah Dow Chemical (DOW.N) yang membukukan laba  lebih baik dari perkiraan. Saham naik 1,2 persen menjadi $ 48,78. 

Membuka diawal pasar adalah Boeing Co (BA.N), yang diterjunkan 1 persen menjadi $ 125,77 meskipun melaporkan laba yang lebih tinggi dari yang diperkirakan dan meningkatkan prospek, sebagai analis mengungkapkan kekhawatiran tentang biaya 787 Dreamliner. Penurunan terjadi setelah kenaikan 5,8 persen selama empat sesi sebelumnya. 

"Musim telah dicampur, dan ekonomi global merupakan masalah bagi perusahaan-perusahaan multinasional besar, tapi fakta bahwa pasar bisa menghilangkan beberapa laporan yang buruk merupakan indikasi dari apa pijakan yang baik itu adalah pada saat ini," kata Bruce Bittles, kepala investasi strategist Robert W. Baird & Co di Nashville. 

Pada level saat ini, S & P adalah 3,4 persen dari rekor penutupan, dan naik 6,7 persen dari sesi rendah Rabu lalu, ketika benchmark mendekati wilayah koreksi. 

Dalam data ekonomi terbaru, harga konsumen naik 0,1 persen pada September karena biaya energi jatuh secara luas,  meggambarkan inflasi lemah yang harus memberikan Federal Reserve banyak ruang untuk mempertahankan suku bunga rendah untuk sementara waktu. 

Pada 11:06 Dow Jones Industrial Average naik 9.34 poin .DJI, atau 0,06 persen, ke 16,624.15, S & P 500 naik 3,9 poin atau 0,2 persen, ke 1,945.18 dan Nasdaq Composite .IXIC menambahkan 7.47 poin, atau 0.17 persen, ke 4,426.95. 

Masalah Memajukan kalah jumlah menurun yang di NYSE oleh 1.796 menjadi 1.118, untuk rasio 1.61-to-1 pada terbalik; di Nasdaq, 1336 isu bangkit dan 1.119 jatuh untuk 1,19-to-1 advancers rasio favoring. 
Patokan Indeks S & P 500 adalah posting 39 tertinggi 52-minggu baru dan tidak ada posisi terendah baru; Nasdaq Composite sedang mencatat 39 tertinggi dan 14 terendah baru.
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Bos Microsoft Satya Nadella Mendapat Gaji $ 84M


Forex education center-Bos Microsoft Satya Nadella Mendapat Gaji $ 84M,Bos Microsoft Satya Nadella telah diberikan paket gaji senilai $ 84.3m (£ 52m) yang membuatnya menjadi salah satu penerima top gaji di industri teknologi. 

Total paket dibayar sebagian besar terdiri dari saham penghargaan, dan sebagian besar pembayaran akan dilakukan selama beberapa tahun. 

Berita paket pembayaran gaji ini terjadi kurang dari sebulan setelah Nadella menyarankan perempuan untuk tidak meminta kenaikan gaji tetapi untuk memiliki "iman dalam sistem". 
Dia kemudian meminta maaf atas komentar itu. 

Dalam aturan yang berlaku, Microsoft mengatakan promosi Nadella dimaksud itu seorang eksekutif kepala tanpa kepemilikan saham utama di perusahaan untuk pertama kalinya. 

Eksekutif sebelumnya kepala, Bill Gates dan Steve Ballmer, keduanya memiliki kepemilikan multi-miliar dolar di perusahaan. 

"Dalam menyetujui total kesempatan kompensasi tahunan awal untuk Nadella, pengurus kami sadar kedua persaingan sengit bagi para eksekutif berbakat di sektor teknologi dan tuntutan dan tanggung jawab dari pemimpin sebuah organisasi global dengan lingkup dan postur dari Microsoft, "katanya dalam pengajuan. 

Tidak termasuk berbagi penghargaan jangka panjang, paket gaji Nadella untuk tahun ini total $ 11.6m. 
Nadella disebut sebagai chief executive pada bulan Februari, dan hanya kepala eksekutif ketiga dalam sejarah perusahaan.
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Price Action Trading

http://www.bisnis-forex.com/

Forex Education Center And Investment- Price Action Trading,Konsep price action Trading mewujudkan analisis pergerakan harga dasar sebagai metodologi untuk spekulasi keuangan, seperti yang digunakan oleh banyak pedagang ritel dan sering kelembagaan di mana perdagangan algoritmik tidak bekerja. Karena mengabaikan faktor fundamental keamanan dan terlihat terutama pada sejarah harga sekuritas - meskipun kadang-kadang menganggap bahwa nilai-nilai yang berasal dari  sejarah harga - itu adalah bentuk analisis teknis. Apa yang membedakan itu dari sebagian besar bentuk analisis teknis adalah bahwa fokus utamanya adalah hubungan harga sekuritas saat ini untuk harga masa lalu sebagai lawan nilai yang berasal dari bahwa sejarah harga. Sejarah masa lalu ini termasuk tertinggi ayunan dan ayunan terendah, garis trend, dan level support dan resistance



Pada yang paling sederhana, ia mencoba untuk menggambarkan proses pemikiran manusia dipanggil oleh yang berpengalaman, pedagang non-disiplin karena mereka mengamati dan perdagangan pasar mereka.Tindakan Harga hanya bagaimana harga berubah -. Yang aksi harga. Hal ini mudah diamati di pasar di mana likuiditas dan volatilitas harga tertinggi, tapi apa pun yang dibeli atau dijual bebas di pasar akan per se menunjukkan aksi harga. Perdagangan harga tindakan dapat dimasukkan di bawah payung analisis teknis tetapi dibahas di sini dalam artikel terpisah karena menggabungkan analisis perilaku pelaku pasar sebagai kerumunan dari bukti yang ditampilkan dalam aksi harga - jenis analisis yang cakupan akademik tidak terfokus dalam satu bidang, bukan secara luas dijelaskan dan mengomentari dalam literatur pada perdagangan, spekulasi, judi dan persaingan umumnya. Ini mencakup sebagian besar dari metodologi yang digunakan oleh pedagang lantai  dan pembaca pita. Hal ini juga dapat opsional mencakup analisis volume dan tingkat 2 tanda kutip. 

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Trader mengamati ukuran relatif, bentuk, posisi, pertumbuhan (ketika menonton saat harga real-time) dan volume (opsional) bar pada OHLC bar atau candlestick chart, mulai yang sederhana seperti bar tunggal, paling sering dikombinasikan dengan bagan formasi yang ditemukan dalam analisis teknis yang lebih luas seperti rata-rata bergerak, garis tren atau rentang perdagangan. penggunaan analisis harga tindakan untuk spekulasi keuangan tidak mengecualikan penggunaan simultan dari teknik lain analisis, dan di sisi lain tangan, minimalis aksi harga trader dapat mengandalkan sepenuhnya pada penafsiran perilaku tindakan harga untuk membangun strategi perdagangan. 

Berbagai penulis yang menulis tentang aksi harga, misalnya Brooks, Duddella,  memberi nama tindakan harga formasi grafik dan pola perilaku mereka amati, yang mungkin atau mungkin tidak unik untuk penulis itu dan dikenal dengan nama lain oleh penulis lain (lebih penyelidikan penulis lain untuk menjadi dilakukan di sini). Pola-pola ini sering hanya dapat digambarkan secara subyektif dan pembentukan ideal atau pola dapat pada kenyataannya muncul dengan variasi yang besar. 
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Artikel ini mencoba untuk menguraikan sebagian besar candlestick bar utama, pola, grafik formasi, pengamatan perilaku dan setup perdagangan yang digunakan dalam perdagangan harga tindakan. Ini mencakup cara mereka diinterpretasikan oleh pedagang aksi harga, apakah mereka sinyal kemungkinan arah pasar masa depan, dan bagaimana pedagang akan menempatkan pesanan Sejalan dengan keuntungan dari itu (dan di mana perintah exit pelindung akan ditempatkan untuk meminimalkan kerugian ketika salah). Karena pedagang aksi harga menggabungkan bar, pola, formasi, perilaku dan setup bersama-sama dengan bar lain, pola, formasi dll untuk membuat setup lebih lanjut, banyak dari deskripsi di sini akan mengacu pada deskripsi lain dalam artikel. Tata letak deskripsi di sini adalah linear, tetapi tidak ada satu urutan sempurna - mereka muncul di sini longgar dalam urutan: pengamatan perilaku, tren, pembalikan dan rentang perdagangan. Pendekatan editing ini mencerminkan sifat pergerakan harga, sub-optimal karena akan muncul.
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Antam

http://www.bisnis-forex.com/
Forex Educaton Center And Investment- Antam,Didirikan pada tahun 1968, ANTAM adalah sebuah perusahaan milik negara yang dihasilkan dari penggabungan beberapa perusahaan dan proyek pertambangan milik negara, yaitu Perusahaan Pertambangan Umum Negara, Bauksit Mining Company, Tjikotok  Emas Mining Company, Perusahaan Negara logam mulia, PT Nickel Indonesia, proyek Diamond dan proyek-proyek lain di bawah Bapetamb. Berdasarkan Peraturan Pemerintah Nomor 22/1968, Perusahaan ditetapkan sebagai Perusahaan Negara (PN) Aneka Tambang pada tanggal 5 Juli 1968 Pembentukan diumumkan dalam Lampiran Nomor 36, BNRI No 56, tanggal 5 Juli 1968. pada tanggal 14 September 1974, status Perusahaan diubah dari Perusahaan Negara untuk milik Negara (Persero) dan dikenal sebagai "Perusahaan Perseroan (Persero) Aneka Tambang".



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Perusahaan berubah menjadi Perseroan Terbatas pada tanggal 30 Desember 1974, sebagaimana tertuang dalam Akta Pendirian Nomor 320 tanggal 30 Desember 1974 dibuat di hadapan Warda Sungkar Alurmei SH, yang pada waktu itu sebagai pengganti Abdul Latief, saat itu notaris di Jakarta. Akta Perubahan No 55 tanggal 14 Maret 1975 dibuat di hadapan Abdul Latief, saat itu notaris di Jakarta, tentang perubahan status Perusahaan dalam rangka melaksanakan ketentuan dalam Undang-Undang Nomor 9/1969 tentang Penetapan Peraturan pemerintah pengganti Undang-Undang Nomor 1/1969 (Lembaran Negara Republik Indonesia Tahun 1969 Nomor 16, Tambahan Lembaran Negara Nomor 2890) dari bentuk Usaha Negara memiliki Hukum (Lembaran Negara Republik Indonesia Tahun 1969 Nomor 40) , Peraturan Pemerintah Nomor 12/1969 tentang Perseroan Terbatas negara, Lembaran Negara Republik Indonesia Tahun 1969 Nomor 21 dan Peraturan Pemerintah Nomor 26/1974 tentang konversi bentuk perusahaan negara Aneka Tambang menjadi Perseroan Terbatas, Lembaran Negara Republik Indonesia Tahun 1974 nomor 33 jo. Keputusan Menteri Keuangan Republik Indonesia Nomor Kep. 1768 / MK / IV / 12/1974, tentang Penetapan Modal Perusahaan Perseroan (Persero) PT Aneka Tambang sebagai Perseroan Terbatas dengan nama PT Aneka Tambang, yang telah disetujui oleh Menteri Hukum dan Hak Asasi Manusia Keputusan Nomor YA 5/170/4 tanggal 21 Mei 1975, dan kedua Perbuatan di atas terdaftar dalam buku Registry di Pengadilan Negeri Jakarta No 1736 dan No 1737 tanggal 27 Mei 1975 dan diumumkan dalam Tambahan Nomor 312 dari BNRI No 52 tanggal 1 Juli 1975 Perusahaan meluncurkan Penawaran Umum Perdana dengan menjual 35% sahamnya ke publik dan tercatat di Bursa Efek Indonesia pada tahun 1997 dana hasil IPO digunakan untuk mendukung proyek feronikel ekspansi III . Dua tahun kemudian, Perusahaan mencatatkan sahamnya di Australia dengan status badan dibebaskan asing, yang ditingkatkan pada tahun 2002 menjadi ASX Listing yang memiliki ketentuan lebih kuat.
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Trading Forex Symmetrical Triangle

Forex Education Center And Investment- Trading Forex Symmetrical Triangle,There are some patterns that traders use charts to analyze the Forex market trends. One of them is Symmetrical Triangle. Through this article the authors review about the shape of the chart pattern used in technical analysis along with examples and how this effect when this pattern emerged in the market. 

Maybe this time the question comes in your mind; what it Symmetrical Triangle? And How do I take advantage of this pattern when he appeared on the market? Through this article the author will discuss the ins and outs of Symmetrical Triangle, in order to allow you to recognize and take advantage of its emergence. 

Definition 
Symmetrical Triangle is a continuation pattern that is formed from the previous trend. Where the price will continue to put pressure bullish, making prices continue to rise to the top, which marked the sharpening of the price on the chart. This pattern is common and almost every moment will arise. 

Symmetrical Triangle is generally regarded as part of the consolidation period, before prices move up and identificated as one of the trendline (bullish). This pattern can be easily recognized because of its distinctive shape of the trendline is created from the two lines together, as a single series the lowest point and the highest point of the series that appear in sequence. Both trendline acts as a barrier that prevents the price moves towards the highest point, or low point. 


How to use it? 
The pattern will appear after the reinforcement has seen prices sideway. 
But in reality once you give the line following the trendline, it will get the picture that the movement may have increased. 

If the above pattern is not found, perhaps forming a sideway length price movements. And it is unknown where the next move. To clarify everything, you just give the line as in the example below. 
If the pattern is similar to the example, the pattern can be interpreted bullish trend is still capable of driving. 

Well, what if the pattern does not match the above example? There's another form of consolidation basic pattern is quite bumpy. This pattern is usually characterized by rising prices that continue to rise. 

Conclusion 
In determining the Symmetrical Triangle pattern, you must introspect against the trend is going. Where the price is not able to support weakened past the point earlier. One more thing you must remember about the Symmetrical Triangle pattern: This pattern will always be there in every price movement. So that at any time the price will form a pattern that is similar to the Symmetrical Triangle. Remember this pattern, then when the time comes, you will know how to move the next trend.
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Forex Hedging Methodology

Forex Education Center And Investment- Forex Hedging Methodology,In general, Hedging is a risk management strategy used in limiting or offsetting probability of loss from fluctuations in the price of commodities, currencies, or securities. As a result, the transfer of risk without hedging is buying an insurance policy. Hedging using a variety of techniques, but, in essence, involves taking equal and opposite positions in two different markets (such as cash and futures markets). Hedging is used also in the capital to protect a person against the effects of inflation through investment in high-yield financial instruments (bonds, stocks), real estate, or precious metals. 

While Hedging in the proper sense he is protecting the value. In forex trading, hedging action means we open two opposite positions, so even if prices rise or fall of its floating rate remains the same. Hedging is usually done when we open position losses. In order not to be larger losses, we key with this hedging technique. So next Hedging also known as Locking (lock) because when we use these hedging techniques we locked position which makes the value of gains and losses always move in tandem. 


For some people considered Hedging is one way that is powerful enough to achieve a profit, but back again any tactics, strategy and the way that his name will always be inherent risks. Most traders may prefer to save the hedging position or lock our defeat. One disadvantage of this is in terms of hedging a long time, demanding calculations more quickly and thoroughly, can affect our psychological terms for the impatient. As a result, even we can get stuck into minus points greater. 

The basics of hedging 
Hedging is a situation where we open 2 opposite positions simultaneously open buy position is open, but also simultaneously open simultaneously open sell position with no stop loss in pasangi but only profit targets are usually 30-50 poinan profit target range as for the intent and purpose is that we make a profit when the price swing occurs either when the price bullish or bearish when price 

How it works hedging 
By the time one reaches the open position of the target such as 50 points before the open position is automatically liquidated so that you only have one position are still minus 50 points the next step is to wait until a minus in position only reduced a little example of minus 50 points so stay minus 30 points. If true minus reduced, then we will do the opposite position open again but the fact we had a profit of 20 points and so on running processes that are important to remember is that we must consistently meet the target we do not become nervous if for example the second position even minus all think calmly that the actual minus whatever happens you will not be more than the numbers that have been the key. 

How after trying to wait some time in the hope of living my position on this one minus reduced, but instead a growing reality? 

This is one of the weaknesses of the hedging tactics one way to do so as soon as possible to do the opposite of open positions before growing big minuses in the hope of future opportunities to reduce the negative will always be there. 

Ideally hedging system in practice if one position suffered losses ranging from 30-50 poinan alone. Hedging system is starting to feel heavy in practice if one position has already suffered losses of more than 100 points, there is one way to reduce the negative points that will be discussed in the following session. 

Other Tips How to Disassemble Hedging 

The first way 
1 Do not be carried away / forward looking moments out of the locking. 
2 If locking / hedging more than 50 pips, it takes up to several times the use of these techniques. 

How: 

Use H1 
Use daily pivot indi 
Wait for the moment the price touches the S / R 3 According to the monitoring if the price has touched the S / R 3, then the price will bounce 30-50 pips, before the market will decide to continue the trend or even a trend change. We take advantage of the moment. 
Remove the valuable hedging profit when price touches the S / R 3. 
If locking / hedging that occurs more than 50 pips, then you should do a limit order 25-30 pips in the opposite direction with an open position we are worth minus (floating is still open) 

The second way 

Hedging can we do, and we can take advantage of the movement of the price fluctuations. it's just the initial stage there must be sacrificed. 
example: BUY and SELL simultaneously. The same with Lot. If it reaches 100 pips for example, we were minus Closs, and let the profit. then we go to the opposite position back. Here we have the profit of hedging positions. going up or down we just take SL profit. 

For example hedging profit: SELL AUD / USD at 0.9100 and a BUY AUD / USD at 0.9000 

prices there in the middle. If the price rises BUY leave. install the SL at 0.9085. Sell ​​executed automatically. If it is safe we sell again. If the plunge, ready ready we put in BUY 0.9020 SL for example. Let SELL, BUY executed if the plunge. when viewed safely. we BUY again. and handled by SELL. and so on.
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Hedging Strategy Binary Option

Forex Education Center And Investment- Hedging Strategy Binary Option,Hedging could be a common term within the world of commercialism, particularly for forex traders UN agency usually use it to hide losses once commercialism position opposite to the market conditions. Hedging actions are often aforementioned in anticipation to beat or perhaps reverse the loss of positions that are running. Not solely within the spot forex, binary choices traders may implement this strategy, if the order is current isn't in line with the value scenario within the market. throughout the end time has not run out, hedging will still be done to handle issues concerning the likelihood of commercialism that finished out-of-the-money. 

Brief samples of hedging methods which will be applied in binary choices are often seen from the subsequent situations: 

Upin select the try USD / JPY for open positions "put" in binary choices. This act is predicated on the NFP information that may go down in an exceedingly jiffy later, and also the results ar expected to indicate worse than expected. However, a while once place possibility, the downward trend has not been well established, and even value charts show that markets ar travel. Apparently, the info unharness a while later showed inverse results of the prediction. price USD was sped up and Upin determined to feature order "call" with a special strike value of the previous commercialism. once Upin end time runs out, the value was at the amount expected by upin the choice "call" it. Thus, Upin managed to stop ludesnya capital he employed in earlier commercialism, as take advantage of commercialism each will cowl the missing funds within the unsuccessful trade. 

From these examples, Upin may increase the proportion of come back or increase the number of capital so as each to extend commercialism profits. alternative means that like open possibility "call" once more can also be taken to more increase profit opportunities. However, if you're the kind of merchandiser UN agency don't wish to take risks, place possibility with a come back level or identical quantity of capital may be done as an answer to beat the loss. 

How to Do Binary choices Hedging 
Since the quantity of options offered as choices end times and kinds of commercialism, hedging binary choices are often wiped out numerous ways that, such as: 

Adding possibility end point in time With identical 
The most elementary method of hedging is to open a commercialism position opposite from the previous position to hide the loss. There ar specific necessities that has got to be thought-about in implementing hedging methods in binary choices. These provisions is to confirm that the second possibility end time adequate to the previous possibility commercialism. thus if the primary trade has end time one hour, at Associate in Nursing interval of half-hour and so you'll be able to open a commercialism position within the other way and set the end time half-hour to create positive each choices would expire at identical time. The method it should be done once you're positive that the value trend are sustained over a amount of a minimum of one hour ahead. during this method, the worst potential factor which will happen isn't a profit in the slightest degree. If you're able to take risks to extend profit opportunities, you'll be able to increase the number of commercialism capital and profit levels for the additional transactions you suspect can succeed. 

Examples of however hedging are often seen within the image below: 


In the image, traders UN agency trade the GBP / USD place possibility "call" with a capital quantity of $ 250 before the united kingdom producing PMI information was discharged. However, the results of subsequent unharness of economic reports showing a decline within the producing sector, and at last GBP conjointly pushed down. to handle the chance of loss that's guaranteed to happen, the merchandiser then place the choice "put" with identical point in time end of the previous commercialism position. 

One important factor to contemplate within the use of this strategy is that the institution of end time. check that that you just have enough time left to try to to hedging, to estimate the direction of the value is additionally additional scalable  before the end time runs out. 

Combining Binary choices commercialism With Forex Spot 
This technique may be one in all the promising various hedging. to use hedging with this method, you'll be able to place possibility and to open position in regular forex commercialism. as an example, you place the choice "call" for the try GBP / USD. However, attributable to some things, you're undecided if {the value|the worth|the value} of the try are at the next level than the strike price once the end time arrives. Therefore, you then do the open position "sell" in spot forex with identical try. Thus, the loss of 1 of the unsuccessful trade are able to offset or perhaps offset by a bigger profit than alternative commercialism. 

Utilizing sort Double bit choices commercialism 
Double bit choices could be a style of commercialism that expected costs to the touch a pair of levels such that value before the end time runs out. as an example, for commercialism USD / JPY is presently at 109 395, your place possibility with value levels at 109 415 and 109 490. If throughout the amount of the commercialism try had touched these levels, then your commercialism are often known as in-the-money. 

To use it as a hedging strategy, you'll be able to select levels higher and less than the strike value at the time. as an example, for commercialism USD / JPY because the case higher than, you'll be able to specify the amount at 109 415, and also the alternative levels ar at 109 380. this may profit you if at that point the movement of USD / JPY didn't have a specific trend (being sideways). 

One of the shortcomings of Double bit choices ar occasional broker that has this sort of commercialism. several choices binary choices brokers that quality is set from a range of things, starting from the regulation, together with the presence or absence Double bit choices united of the kinds of commercialism choices. Therefore, it's necessary for you to actually think about priority parts so as to get a broker's commercialism facilities as per your need. 

Important Things In Binary choices Hedging 
One factor you must continuously look out for traders is, nobody extremely will predict market movements accurately. during this case, larger profit opportunities because of hedging may conjointly result in larger risk. additionally to following the guidelines binary choices commercialism normally, traders conjointly got to verify the first purpose in conducting hedging strategy. whether or not hedging is finished solely as the way of overcoming loss, or conjointly applied to extend the probability of profit. many things to notice before hedging, among others: 

1 Recognizing Risk Hedging 
Before deciding to hedge, you must perform the calculation of the chance happens if hedging is admittedly planning to be done. Such issues could assist you to research the simplest risk, whether or not the loss are often intimate which is able to increase or decrease if the hedging if truly enforced. 

2 hard Total Risk which will lined 
This is one in all the core ways for securing your hedging position. As we know, there's nobody style of commercialism was safe from risk. If the chance are often managed well, the loss are decreased  obtained and don't overload your science. 

This calculation are often done by decisive the dimensions of commercialism. In binary choices, commercialism size are often understood because the quantity of capital and profit levels to be taken. If solely accustomed deal with loss, commercialism positions that you just are able to be opened with the execution of capital and also the quantity of profit identical level with the previous order. If your goal is to double hedging gains, profits and capital levels for every commercialism binary choices are often distinguished order her very little huge. This distinction is formed on the belief that the choice position with larger trade size is calculable that additional believed, in order that the loss on the primary possibility commercialism are often offset by the acquisition of each take advantage of possibility commercialism. 

3. Trial Hedging 
If you're inexperienced in hedging and keen to do it, you'll be able to take a look at this strategy through backtest or commercialism on a demo account initial. Hedging risk larger than traditional commercialism, thus it needs you to consolidate the results of the analysis and the way to trade. you'll not apprehend if it'd be smart or dangerous influence on your commercialism system before attempting it. Therefore, it's necessary for you to grasp the workings and overall hedging system before truly victimization it on a true account. this may slender down the likelihood of failure of hedging, as a result of you'll perceive the items that have to be compelled to be cautious of the hedging strategy. 

4 Analyzing the Results of Hedging 
The learning method within the forex or binary choices ne'er stopped and continues for traders still run their commercialism. New things which will happen at any time, and any commercialism results continuously yielded specific lessons which will be drawn edges. every commercialism positions, each of that finished in-the-money or out-of-the-money have concepts which will be learned so as to develop subsequent commercialism position. Therefore, create a note of the results of the hedging commercialism will assist you make sure the success of your strategy and perceive the aspects that require attention so as to not repeat identical mistakes once commercialism failure. 

Conclusion 
Hedging are often a profitable strategy for binary choices traders. There ar many ways in which are often applied to attenuate risk and maximize profit opportunities. For novice traders, it's counseled to check the employment of this hedging strategy on a demo account initial. {this is|this is often|this are often} as a result of the potential risks can be doubled if the traders ar less able to utilize hedging methods. If traders cannot do correct analysis or decisive the suitable size of commercialism, losses could also be larger than the initial loss that will occur before hedging. 

For this reason, hedging is taken into account risky and too sophisticated for many traders. except for those that wish to take risks, hedging could be a strategy fascinating possibility and might increase the probability of profit. several traders don't apprehend that the additional they shut themselves against the potential risks, the additional they're less ready to affect the likelihood of loss which will occur at any time. Therefore, the chance management will facilitate traders cope measured their concern of risk. during this case, use a hedging strategy with the aim of applying the suitable size of commercialism are often a technique to counter these risks.
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How To Make Profit By Switching Techniques

Forex Education Center And Investment- How To Make Profit By Switching Techniques,There are times when the market moves do not fit our predictions, so we have open positions become lose,but in such conditions we can still strive to turn into profit is to do the switching. 
Switching is based on the meaning of the word is change. In forex trading, a switching strategy is to change the direction by closing losing positions and opened a new position in the opposite direction from the position it has closed on the expected position of the latter will be greater than the loss in the first position is already closed. 




For example: 

Currently the price of GBP / USD is 1.5500. I predict BGP / USD will rise towards 1.5600. Therefore I open a buy position. 
Lapse of how many hours it turns GBP / USD moves opposite to my prediction, GBP / USD down and is now at the level of 1.5450 .Artinya my long positions lose 50 points. 

After re-analyzed, it turns out GBP / USD will fall towards the 1.5350 level. 

So that today I do not lose, I decided to close my long position with a loss of 50 points and opening new short positions. 

After a few hours it is true that the market moves according to analysis result that both fell, and is now at the level of 1.5375 


Finally, after feeling the profit earned enough, then I closed my short position with 75 points profit. 

Of accumulation 2 above transaction with switching, today I profit by 25 points is 75 points deducted from profit loss of 50 points. 


Tips in pursuing a strategy of switching

- Perform switching to open a second position which is opposite to the first position only if the prediction gain second position exceeds the value of the first loss position would be closed. 
- Should do the switching when the big trend will be formed, that is, when the breakout band. 

Switching forex strategy requires an analysis that is convincing, because if it is not convinced with the second prediction, only to cut losses should first position without having to be forwarded to the switching. If we are still forced to be tossed around by the market and instead suffer a loss 2-fold.
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Definition Of Terms In Forex Trading

Forex Education Center And InvestmentDefinition Of Terms In Forex, the forex trading there are many terms that the term should be understood as we understand it and the terms of trade will always be with us in the future. and between the short term and the definition are as follows

-Account (Account) - Notes in the database, which contains information about the user and other objects of the system. 


-Fundamental Analysis - market analysis type, in which th


e estimate is based on financial market news, analysis of economic and political information to predict market movements. 

-Technical Analysis (graphical analysis) - which type of market analysis in this estimate is based on the fact that the market has a memory and the future will be influenced by changes in behavior patterns in the past. 
-Arbitrage - Transfer funds from one market to another market to profit from the difference in interest rates, exchange rates, or commodity prices. 
-Aussie (AUD) - a slang term for the Australian dollar. 

-Automated trading - the special method of trading when programs execute orders on the trader's Behalf, based on a particular system, but without the participation of the traders. 

-The central bank - Bank that provides financial services to the government and the country's commercial banks. 

-Bull (Bull) - Trader, the main priority is the increase in the exchange rate. 
-News Trading (trading News) - The type of trading system, the essence of which is to receive a profit on the price gaps at times of important economic news releases. 

- Bear (Bear) - Trader, which is the preferred currency devaluation. 

-Broker - a wealthy individual or company that takes the responsibility to be an agent between buyers and sellers of financial instruments while charging a fee (commission fee). 

-Buy Limit - Pending orders to buy at a price lower than the current price level (buy cheaper than now). It is placed in the hope that prices will fall to a certain level and then will begin to rise again. 
-Buy Stop - Pending orders to buy at a price higher than the current price level (purchase more expensive than it is now). It is placed with the expectation that the market price will reach a certain level and will continue to grow. 
-Cable - slang for a pound. It is called this way because the first offer that was sent to America by the trans-Atlantic cable in the middle of the 19th century. 

-Candlesticks - One method of displaying graphics exchange rate changes of financial instruments'. 

-Close Order (position) - the reverse process of selling / buying the volume of such financial instruments, which compensates for the buy / sell volume opening position. 
-Dealer - An individual or company with whom the trader has an agreement with, set up the basics of trading operations. Dealers take the responsibility to act as the second part of the transaction. 
-Deposit - Funds are included in the account for further transactions. 
-Diversification - The strategy aims to reduce risk by allocating investments in financial instruments or investment object. 
-Instant Execution (Instant Execution) - Method execution order, where the order is executed at the price indicated. If the price changes while getting to the trading server, the client gets a notice about the change in price (requote). Traders can accept or reject the new price to be executed. 

-Execution Market (Market Execution) - Method execution order, where the order is executed If any. If the price changes at the time of execution of the order, it will be executed on the new, the price changed. 

-Equity (Equity) - indicator that characterizes the current status of the trader's account. It is calculated as follows: equity = balance + floating profit - floating loss. 

-Expert Advisor - Automatic System (script) that executes the trade without trader's participation is based on a predetermined algorithm. 
-Flat - Period when the price remains the same range and does not indicate the direction of growth or decline. 
-Gap - Break on the graph is caused by a mismatch between the offer price of an open trading period and the closing price of the previous trading period. This can occur due to unforeseen circumstances (eg, after the weekend). 

-Day Trading (Day Trading) - Trade operations are completed in one day. 
-Hedging - The use of a financial instrument to reduce risk, which is linked to the influence of unfavorable market factors on the price of another financial instrument, related to the first or the cash flows they generate. 
-Indicators - The tools of computer analysis of price movements based on the statistical data used in technical analysis. 
-Financial instruments (Financial Instrument) - Product tTipe financial market environment (ie currencies, stocks, futures, options, etc.) 

-Key (Lock) - The presence of the two open positions of the financial instruments in the opposite direction at a time. 
-Kiwi (NZD) - a slang term for New Zealand currency (New Zealand dollar). 
-Exchange rate (exchange rate) - The ratio of the price of one currency for another at a time. For example, 1 EUR can buy 1.3000 USD. Looks like EUR / USD = 1.3000. 
-Profit (Profit) - Increased positive balance resulting from investment or trading, after deducting all costs. 
-Level of support - term technical analysis, which determines the rate at which market players often start buying. 
-Leverage - The instrument allows a greater amount of trading, having only a portion of the amount. For example, with a 1: 100 leverage, you can trade in volumes of 100 000 USD, USD 1000 only to have your own funds. 

-Liquidity (Liquidity) - Features an asset to change each other. A greater liquidity provides an opportunity to make a big deal, without being affected by significant changes in the price. 
-Long - position to buy. Profit increases when market prices grow. 
-Lot - A number of units or amount of assets that are used to execute certain trading instruments (currency pair, a lot of Forex standard of 100 000 units of the base currency). 
-Margin - Collateral is required to carry out trading with the help of leverage. For example, if the leverage is 1: 100 and 10 000 USD order volume, margin is 100 USD. 
-Margin call - Notification which indicates that little amount of funds remaining in your trading account and that, in the case of unfavorable market movements, stop out may occur. This notice is sent at a time when the rest of the funds on the trading account is a certain percentage of the margin (eg, 40%). 

-Market-maker - a big bank or financial organization that determines the exchange rate at this time because most of the operations in the entire market volume. 
-The base currency (base currency) - which stands first currency in a currency pair. All transactions are made with the base currency. 
-Quoted Currency (Quoted currency) - which stands second currency in a currency pair. The price of the base currency is reflected by the aid. 
-Major (Majors) - the main currency pairs: EUR / USD, GBP / USD, USD / JPY, USD / CHF, AUD / USD, and USD / CAD. 

-Order (position) - Instructions client to execute trading on a certain level (to buy or sell one currency to one another). Once an order is opened, it should be closed to improve profit or loss. 
-Open Order (position) -Processes buy or sell a certain volume of financial instruments for profit due to changes in supply in a favorable direction. To improve trading results, you have to close the order. 
-Currency Pair (Currency pair) - Financial instruments ditraderkan in the foreign exchange market. The pair formed by the two currencies, which is written as a ratio of one to the other. For example, USD / JPY. The result is called the exchange rate or offers. 
-Cross currency pair (Cross currency pairs) - Currency pairs that do not include USD. For example, EUR / JPY. 

-Pending orders - Orders to buy or sell financial instruments in the future, when price reaches the level indicated in the order. 
-Non-market offer - Offer in accordance with the following conditions: 
significant price gaps; 
return of the price in a short time to the initial level, the price gap formation; 
the absence of rapid price dynamics before the advent of this offering; 
the absence of important economic news, which obviously affects the financial instruments at the time of offer appearance. 
-Offer (Bid) - The price at which you can sell the currency. The offer price is lower than the ask price. 
-Short (Short) - Position to sell. Earnings increase with a decrease in the market price. 

-Permitaan (Ask) - The price at which you can buy the currency. Asking price is greater than the Bid price. 
-Pips (Points) - Unit price changes of financial instruments (0.0001). For example, if a major change 1.3000-1.3001, it means that he will change for 1 pip (point). Fractional unit price changes used in NDD and ECN accounts, which means that supply can be changed at 0.1 pips and will look like 1.30011. 
-Trading platform (trading terminal) - Software that allows traders to execute the trading of computer or other telecommunication devices. 

-Resistance level - term technical analysis, which determines the rate at which market players often start selling. 
-Requote - Notification in the trading terminal on price changes during the process of placing the order. You can accept the new price or cancel the execution of the command. Requote can appear in an account with the Instant Execution. 
-Balance (Balance) - The number of funds in the trading account after completing the last transaction in the given period. 

-Scalping - a trading strategy in which a trader executes a large number of orders over a short period (even a few seconds) and improvement in a few pips profit. 
-Slip (Slippage) - The number of market movements of the time of placing the order until its execution. This is the situation when the command executes at a better price / worse than indicated in the order. For example, this may occur during high market volatility. 
-Sell ​​Limit - Pending orders to sell at a higher price than the current price level (selling more expensive than it is now). It is placed with the expectation that the market price will increase to a certain level and then it will start to fall. 

-Sell ​​Stop - Pending orders to sell at a price lower than the current price level (selling cheaper than now). It is placed with the expectation that the market price will decline to a certain level and will continue to fall. 

-Spread - The difference between the real-time Bid and Ask price of one currency to one another. 
-Stop out - automatic closing process orders. This procedure took place at the time when the remnants of the trading account is a certain percentage of the margin (eg, 20%). 
-Stop loss - a pending order type that helped limit losses while trading. 
-Swissy (СHF) - a slang term for the Swiss franc. 
-Swap - Cost to transfer trading positions open all night. Funds can be reduced or added from / to the account. 
-Take profit - a pending order type that helps fix (taking) advantage while trading. 

-Automated trading (Autotrading) - Method trading when a specific program executes orders on behalf of the trader, based on a particular system, but without the participation of traders. 
-Тrailing stop - an instrument that "recruit" stop loss to a current price at a certain distance to the changing market and distributed. This helps for price movement in one direction. 
-Тrend - clearly visible market movements in one direction (upwards - bullish, down - bearish, sideways - flat). 
-Volatility - the strength of the exchange rate variation. 
-Volume - The number of financial instruments to trade during a certain period.

Those are some terms and defition of  present in about forex trading is expected understanding and understand our respective functions so that in the future we can apply in our trade