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xauusd=gold master trading (English Edition)

Basic of gold trading from A to Z in very simple language. XAUUSD represents the price of gold against the US dollar. Gold is one of the most actively traded and volatile markets, which creates significant opportunities but also significant risk. Successful gold trading is not about predicting every move; it is about understanding market structure, waiting for high-quality setups, and controlling risk. Gold can move rapidly when interest rates, the US dollar, economic data, geopolitical events, or market sentiment change. The first foundation of XAUUSD trading is market structure.

Support and resistance are important areas where price has historically reacted. Instead of treating them as exact lines, it is usually better to view them as zones. Previous swing highs and lows, psychological round numbers, moving averages, and areas with repeated reactions can all become important zones. Gold frequently reacts around major round-number levels, making them useful reference points.

The next major concept is trend identification. Moving averages can help traders understand the broader direction. A combination such as the 50-period and 200-period moving averages can provide useful context, while RSI can help identify momentum and potentially overextended conditions. However, indicators should confirm price action rather than replace it. A trader should avoid entering simply because an indicator says buy or sell.

Gold is heavily influenced by fundamental factors. The US dollar, Treasury yields, Federal Reserve policy, inflation, employment data, interest-rate expectations, central-bank activity, and geopolitical developments can all affect XAUUSD. Economic news therefore deserves special attention. Events such as CPI, PCE inflation, Non-Farm Payrolls, FOMC decisions, GDP, unemployment data and Federal Reserve speeches can create sudden volatility. Traders should know when major news is scheduled and avoid entering trades without considering the possibility of rapid price movement and spread expansion.

The most important chapter is risk management. A profitable strategy can still destroy an account if position sizing is too large. Risk should be calculated before entering a trade. A commonly used educational framework is risking a small percentage of account equity on each trade, such as 0.5–2%, depending on the trader's plan and risk tolerance.

Every trade should have a clear entry, stop-loss and target. The stop-loss defines the point where the trading idea is considered invalid. A target should be based on realistic market structure rather than greed. The trader should also consider the risk-to-reward ratio. For example, risking $100 to potentially make $200 gives a 1:2 risk-to-reward relationship.

A major lesson of the book is do not chase price. If gold suddenly moves $30, $50, or more, entering simply because the market is moving can expose the trader to poor risk/reward. Wait for structure, pullbacks, retests, or confirmation.

Trading psychology is equally important. Fear, greed, revenge trading, FOMO, overtrading, and moving stop-losses can destroy an otherwise good strategy. A professional mindset focuses on following the trading plan rather than trying to win every trade.

Finally, every trader should maintain a trading journal. Record the date, session, setup, entry, stop, target, risk, result, screenshot, and emotional state. After 50–100 trades, the journal can reveal which setups actually work and which mistakes repeatedly cost money.

The core XAUUSD formula
Market Structure → Key Zone → Confirmation → Entry → Stop-Loss → Target → Risk Management → Journal

The objective is not to predict every gold movement. The objective is to build a repeatable process where losses remain small, winners are allowed to develop, and decisions are based on evidence rather than emotion.

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