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A Trader Journal

A trader's journal on topics related to trading, psychology, money management and technical analysis of Futures, Forex and Stock markets.

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A Trader Journal | atraderjournal.com Reviews
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A trader's journal on topics related to trading, psychology, money management and technical analysis of Futures, Forex and Stock markets.
<META>
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1 Futures
2 ETFs
3 Forex
4 Stocks
5 Chart Patterns
6 Technical Analysis
7 Money management
8 Diversification
9 Psychology
10 Risk
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a trader journal,disclaimer,labels quantitative system,research,rules,filtering schemes,filtering scheme,concluding thoughts,core idea,now rank,twist,some notes,merton model,model characteristics,wrap up,1 comments,routine,observations,side note,summary
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A Trader Journal | atraderjournal.com Reviews

https://atraderjournal.com

A trader's journal on topics related to trading, psychology, money management and technical analysis of Futures, Forex and Stock markets.

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atraderjournal.com atraderjournal.com
1

A Trader Journal: April 2013

http://www.atraderjournal.com/2013_04_01_archive.html

Change yourself, change your trading. Sector Rotation trading using Credit Markets. The core principle of the paper is "equity values drop when credit risk rises and vice versa". This paper applies this relationship at index level. The method here is a long-only strategy and uses SPDR sector ETFs (XLE, XLY.) as the assets to rotate for the portfolio. Methodology:. Using 6 month time frame (i.e., 26 weeks, weekly frequency) calculate a fair value. ETF fair(HYB market) = A * HYB market B. Assets. Repla...

2

A Trader Journal: Taming the Equity Curve for Better Returns

http://www.atraderjournal.com/2012/11/taming-equity-curve-for-better-returns.html

Change yourself, change your trading. Taming the Equity Curve for Better Returns. Just like markets, each trading strategy creates footprints for the discerning trade/investor to see and capitalize on it. The premise of this post is simple - Can we analyze and take advantage of our trading strategy footprints to improve the Returns, Sharpe and other performance metrics while reducing the draw downs? Today is a down day i.e., Close Open. Sell the following day i.e., on Wednesday open. Now the question is ...

3

A Trader Journal: January 2013

http://www.atraderjournal.com/2013_01_01_archive.html

Change yourself, change your trading. Updates to Wall Street Currents site. As most readers of this blog know, Wall Street Currents. Site is my primary source of information to get a pulse on markets and for new ideas, view points and techniques to investigate. Over last week there were multiple changes to WSC site. The changes were primarily in the following 3 areas of the site:. If you are watching WSC. ATJ Digest - Vol 3. How to Pairs Trade. This is a simple and interesting strategy to do pair trading...

4

A Trader Journal: August 2013

http://www.atraderjournal.com/2013_08_01_archive.html

Change yourself, change your trading. Enhancing TA trading rules performance using filtered Price Bars. Volatility is an interesting subject. For some it is risk and for others it is opportunity. In a way I think it is both. For a trader, price volatility creates opportunity whereas portfolio volatility creates risk. When it comes to markets, the days with large price moves are the ones that reflect most the inefficiencies and also trigger the most emotions. No w a rarely asked but important question...

5

A Trader Journal: Profiting from patterns in insider trades...

http://www.atraderjournal.com/2013/03/profiting-from-patterns-in-insider_3.html

Change yourself, change your trading. Profiting from patterns in insider trades. Few weeks back I came across an interesting paper. On insider trading. This paper is about detecting patterns in trades made by insiders to identify suspicious trades for investigators and prosecutors. Another audience for the paper naturally is us i.e., traders/investors. Can you figure which of the trades of this informed insider are to capitalize on private information that is short lived in nature? To me no one single co...

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Quantifiable Edges: February 2013

http://quantifiableedges.blogspot.com/2013_02_01_archive.html

Assessing Market Action With Indicators And History. Wednesday, February 27, 2013. The Quantifiable Edges Study of Tops. A while back I did a study of major market tops for Quantifiable Edges Gold. The Study of Tops can now be purchased on the Quantifiable Edges website for $5.99. If you purchase a Quantifiable Edges subscription within two weeks of your Study of Tops purchase, your $5.99 will be refunded. Lastly, I also included a coupon (good through March 31) for a free trial of any Overnight Edges.

quantifiableedges.blogspot.com quantifiableedges.blogspot.com

Quantifiable Edges: Father's Day Fun With Pairs & ETF's Rewind's Tools

http://quantifiableedges.blogspot.com/2009/06/fathers-day-fun-with-pairs-etfs-rewinds.html

Assessing Market Action With Indicators And History. Monday, June 22, 2009. Father's Day Fun With Pairs and ETF's Rewind's Tools. We spent Father’s Day at my in-laws. My father-in-law actively trades and a lot of what he does is pairs trading. He’s been getting more involved with pairs lately and comes up with some crazy ones. He does some testing on the computer but a lot of his testing is done “old school” with a pen and paper. So I brought my laptop over armed with Jeff Pietsch’s ETF Rewind tool.

quantifiableedges.blogspot.com quantifiableedges.blogspot.com

Quantifiable Edges: August 2013

http://quantifiableedges.blogspot.com/2013_08_01_archive.html

Assessing Market Action With Indicators And History. Friday, August 30, 2013. An Updated Look At The Friday Before Labor Day. The Friday before Labor Day has long been a strong seasonal day for the market. The study below is one I also showed last year. The stats table based on buying the Thursday before Labor Day and selling the close on Friday. Posted by Rob Hanna. Links to this post. Thursday, August 29, 2013. A Simple Look At Bounces From 20-Day Lows During Long-Term Uptrends. Posted by Rob Hanna.

quantifiableedges.blogspot.com quantifiableedges.blogspot.com

Quantifiable Edges: January 2014

http://quantifiableedges.blogspot.com/2014_01_01_archive.html

Assessing Market Action With Indicators And History. Monday, January 13, 2014. Check Out The New Quantifiable Edges! Quantifiable Edges has undergone a complete site overhaul! Part of that overhaul included moving the blog. New posts can be found at the address below:. Additionally, I'd like to invite everyone to explore the new site and take a free trial of our Gold Subscriber Service. Quantifiable Edges Email List. RSS Feed - http:/ feeds.feedburner.com/quantifiableedges/blog. Posted by Rob Hanna.

quantifiableedges.blogspot.com quantifiableedges.blogspot.com

Quantifiable Edges: July 2013

http://quantifiableedges.blogspot.com/2013_07_01_archive.html

Assessing Market Action With Indicators And History. Tuesday, July 23, 2013. The 3-Day Pattern That Suggests A Bearish Edge For Today. The last 3 days have created an interesting setup. Thursday SPY made a new 50-day closing high. Friday SPY posted an inside day. And then Monday was another 50-day closing high. This has only happened 16 other times since 1999. Below is a list of all the instances along with their performance the next day. Posted by Rob Hanna. Links to this post. Friday, July 19, 2013.

quantifiableedges.blogspot.com quantifiableedges.blogspot.com

Quantifiable Edges: May 2013

http://quantifiableedges.blogspot.com/2013_05_01_archive.html

Assessing Market Action With Indicators And History. Thursday, May 30, 2013. Recent Closing TICK Action and The Oscillator Strongly Suggesting A Quick Bounce. One indicator now providing some extreme readings that are typically followed by bounce is the TICK Tomoscillator. The TICK Tomoscillator is the brain child of my friend and fellow market analyst, Tom McClellan of McClellan Financial Publications ( click for Tom’s article on the indicator. While instances are a little low we see what appears to be ...

quantifiableedges.blogspot.com quantifiableedges.blogspot.com

Quantifiable Edges: Should You Quit Trading Early Today?

http://quantifiableedges.blogspot.com/2013/12/should-you-quit-trading-early-today.html

Assessing Market Action With Indicators And History. Tuesday, December 31, 2013. Should You Quit Trading Early Today? The table below is from a study I showed in last night’s subscriber letter. It shows how SPY has performed every year, during the last 15 minutes of trading for the year. On average SPY has lost 0.25% in the last 15 minutes of trading. And if you just look at the losers, the average loss was 0.345%. Last year was the 1 big up year (excitement over avoiding the Fiscal Cliff? In this blog I...

quantifiableedges.blogspot.com quantifiableedges.blogspot.com

Quantifiable Edges: December 2013

http://quantifiableedges.blogspot.com/2013_12_01_archive.html

Assessing Market Action With Indicators And History. Tuesday, December 31, 2013. Should You Quit Trading Early Today? The table below is from a study I showed in last night’s subscriber letter. It shows how SPY has performed every year, during the last 15 minutes of trading for the year. On average SPY has lost 0.25% in the last 15 minutes of trading. And if you just look at the losers, the average loss was 0.345%. Last year was the 1 big up year (excitement over avoiding the Fiscal Cliff? I’ve bee...

quantifiableedges.blogspot.com quantifiableedges.blogspot.com

Quantifiable Edges: April 2013

http://quantifiableedges.blogspot.com/2013_04_01_archive.html

Assessing Market Action With Indicators And History. Tuesday, April 30, 2013. The Impact Of A Breakaway Gap. In the 9/7/12 blog I looked at the short-term importance of an unfilled upside gap accompanying a breakout. With yesterday’s breakout to a new closing high occurring along with an unfilled up gapI have revisited that study below. Results here are strong across the board. As you can see these moves to new highs that don’t start with an unfilled gap are much less reliable over the short-term. Strong...

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A Trader Journal

Change yourself, change your trading. Enhancing TA trading rules performance using filtered Price Bars. Volatility is an interesting subject. For some it is risk and for others it is opportunity. In a way I think it is both. For a trader, price volatility creates opportunity whereas portfolio volatility creates risk. When it comes to markets, the days with large price moves are the ones that reflect most the inefficiencies and also trigger the most emotions. No w a rarely asked but important question...

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News & Links. Why Commodities Over Stocks. Closed & Open Posted Trades. Quotes & Charts. Welcome to Trader’s Edge. Click here to view our closed and open posted trades. Check out what the market is doing today with our quotes and charts. Option trades posted and placed by Trader’s Edge with actual results. Check out our current open trades. Need a reliable futures and futures option broker? You’ve come to the right place. We offer full service, online or discount trading packages. Proud Member of The.

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