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By Murray A. Ruggiero Jr. |
March 26, 2013
Murray Ruggiero explores enhancing an already successful trading system with neural nets, while understanding their limitations.
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By Paul D. Cretien |
March 26, 2013
How to capitalize on current relationships between key currencies and interest rates using option calendar spreads.
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By Billy Williams |
March 26, 2013
Recognizing if the market is moving up, down or sideways is key to success. Moving averages can help.
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By Kevin J. Davey |
March 26, 2013
It’s easy to become overwhelmed by too many performance measures. Know what matters in your performance report.
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By Jean Folger |
February 25, 2013
Commodity ETFs can experience contango when the underlying contracts roll. Here’s what that can mean for your bottom line.
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By Billy Williams |
February 25, 2013
Inside bars reflect periods of contraction and offer the opportunity to recognize when the market tide is shifting.
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By Paul D. Cretien |
February 25, 2013
Here’s how to use the Log Log Parabola options-pricing model to improve on already positive results.
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By Neil Rosenthal |
February 25, 2013
Here we integrating money management techniques and performing Monte Carlo analysis as the final test on a new trading system.
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By Jeff Greenblatt |
February 25, 2013
Markets often rise slowly but fall quickly. The VIX can warn you when times are about to change.
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By Bramesh Bhandari |
January 24, 2013
How to use the commodity channel index to analyze price movements and to predict trends, either short- or long-term in nature.