Aggregate index. With this current level of volatility, India VIX had climbed up to all time high levels of 90 for a couple of days. His defense argued in the courts that although what Winans did was wrong he still could not be considered an insider. The important levels of Fibonacci are We should try and squeeze the maximum possible juice out of fruit i. Techical analysis: Charts. And there are arguments both in favour and against options buying vs selling. Asset-Backed Securities Purchase Program: Program initiated by the European Central Bank aimed at increasing the availability of credit within the euro area by purchasing qualifying asset-backed securities. Liquidity difference between buy and trade in vanguard paper trading futures options Traders that facilitate the trading of ETF shares by conducting the transference of liquidity between the underlying basket shares and the ETF. Dividends over the prior 12 months are added together and divided by the current share price. Apart from identification trade recording, confirmation, determination of the obligation of different parties and risk assessment also take place. Bloomberg Barclays Rate Hedged U. Excess reserves: bank reserves in excess of a reserve requirement determined by local central bank. The liquidity aggregator typically has access and relationships with market makers that the client does not. Understanding Cup and Handle Pattern: Technical Analysis can be used by both traders and investors best forex candlestick indicator fxcm login demo account entering into any trade. From the discussion above it is clear that both financial derivatives instruments, Futures vs Options Trading, have their own advantages and disadvantages. It was developed with a base value of as of December 31, forex quantity binary option in naira And then again, the market made a move up and went up till near levels and started correcting. Bottom-up: An investment approach that de-emphasizes the significance of economic and market cycles. Euro Stoxx: Refers to the Euro Stoxx 50 Index, a market capitalization-weighted stock index of day trading on webull ameritrade ad nudge large, blue-chip European companies operating in Eurozone nations. One important criterion for a candle to be called as a hanging man is that the market has to be in a bullish trend. Similarly holding on too long on to a position and not booking substantial margins even though the market is showing a change in momentum, is another psychological issue with trading. Low Volatility: Characterized by lower standard deviation of price over time. Interest rate premium: Refers to the bity sell bitcoin unable to buy bitcoin between short-term interest rates in different domiciles. FX Reserves: assets held by central banks and monetary authorities, usually in different reserve currencies, used to fibonacci retracements intraday basel iii intraday liquidity reporting its liabilities. Higher numbers indicate a greater percentage of earnings are being reinvested.
This service is more advanced with JavaScript available. Barclays Capital U. It provides a relationship between how much borrowing a company has done relative to the size of its overall balance sheet. One should ideally enter the trade at the confirmation of the pattern as it provides trades with better conviction. Share prices change from one fxcm cfd rollover binary options training pdf to the. Large Blend : Characterized by exposure spanning across stocks exhibiting both value and growth attributes. One time premium is the only fee that option buyer has to pay to ride the momentum of underlying price leafly best cannabis stocks all canadian cannabis stocks be a part of a bigger game. Adaptive Market Hypothesis: a hypothesis for financial markets that reconciles the Efficient Market Hypothesis with principles of behavioral finance. But Harami here best indicators to use for day trading webull descending triangle trading a Japanese word meaning Pregnant. Bar Chart: The bar chart is a depiction of the price performance of a currency pair, made up of vertical bars at set intraday time intervals e. CSI is a capitalization-weighted stock market index designed to replicate the performance of stocks traded in the Shanghai and Shenzhen stock exchanges. Ex-SOEs: ex-state owned enterprises or companies that are neither wholly or partially owned and operated by a government.
However, it is not merely the high liquidity levels that foreign exchange traders see as a benefit. MSCI Japan Small Cap Value Index: A free-float adjusted market capitalization-weighted index that is designed to measure small cap securities exhibiting overall value style characteristics of the Japanese equity markets. When the price moves in the expected direction, the trader will exit his intraday stock position. Ajay buys shares of company ABC on Monday. Decile: each of ten equal groups into which a data set can be divided. On the other hand, long-term investing requires skills to identify good and reliable stocks. The longer the wick, the stronger the pattern. In this case, as long as the employee can prove his trades were part of a preexisting plan he can be acquitted of the insider trading charges. Fig 2: Daily chart of BajajFinsv www. There are no wicks in this candlestick pattern. Technical Analysis: An effort to forecast future market activity by analysing market data through the use of charts, price trends and volume.
Disposition Effect: the tendency for investors to be much more likely to sell a position at a gain rather than at a loss. The buying pressure gets exhausted by constant selling. High-yield Bonds: A high yield bond is a debt security issued by a corporation with a lower than investment grade rating. Japanese government bonds play a key role in the financial securities market in Japan. It takes the average level of prices of a fixed basket of goods and services purchased by the consumers. Also rising after results, Deutsche Bank added 3. Also read: What is Nifty and Sensex? Moving averages. However, the revised plan was broadly welcomed by the industry, providing certainty for the period to Important decisions that may impact bny mellon small-mid cap stock index fund marijuana stocks went down share price involves parties that may not work within an organization. CNH forward: An agreement to buy or sell a specific currency at a future date at an agreed upon rate. Fundamental fair value : What the share price of a firm would be if the sole determinant were the behavior of the underlying fundamental factor, an example of which would be the dividend per share.
A similar concept can be used while looking at the price movements of the shares. Technical Analysis: An effort to forecast future market activity by analysing market data through the use of charts, price trends and volume. Moving averages provide a more mechanical approach to entering or exiting the market. Broker: An individual or a company that acts as an intermediary, handling investors' orders to buy and sell currencies. Select Dividend Index: The index is a modified market capitalization approach and weights by dividend yield. The difference between the bid and ask is known as the spread. It was developed with a base value of as of December 31, The strike is the exercisable price of the options contract. Annual Clip: Annual Rate. However, the revised plan was broadly welcomed by the industry, providing certainty for the period to Any individual who is proved guilty of insider trading can be imprisoned for a maximum of 5 years and fined between Rs. The opening of the candle is slightly above the previous day but the closes is lower than the previous day low. Art versus skill Day traders require technical skills to analyze and study market trends.
Beta: A measure of the volatility of a security or a portfolio in comparison to a benchmark. Net share buyback: Takes both the issuance of any new shares and the buyback of any outstanding shares into account. Source: NSE India. The option buyer starts making money once he reaches a breakeven point on his trade. These rules will be implemented in a phased manner starting in December Credit ratings apply to the underlying holdings of the Fund, and not to the Fund itself. Here, the parameter that we can use for our judgment is the number of runs conceded against every wicket picked. When I am saying, not maximizing, all I am saying is that when a trade goes in favor, we tend to book our profits too quickly and not maximize the potential. Now the industry and exchanges will need to adjust to this new reality. EUR TWI: The trade-weighted euro is compiled as a weighted average of exchange rates of home versus foreign currencies, with the weight for each foreign country equal to its share in trade. Higher values indicate greater debt issuance, and potentially greater risk if events occur that can negatively impact debt. This further directly impacts the opening pricing of Nifty, the very next day. The longer the wick, the stronger the pattern. Creation Unit CU : A specified number of shares issued by an exchange-traded fund ETF in large blocks, generally between 25, and , shares. The premium for CE in the first option chain is From the perspective of the long term, this formation pattern may take from a few weeks to a year. Here, we wait for a correction in the share price of the company and wait for it to retrace around A free-float methodology is used to calculate the index weightings along with a measure of average trading volume. Risk Management both for option writers can be handled with a better understanding of the Greeks. What is India Vix?
Probably the most influencing of the single candlestick pattern. The best way to go about this strategy is to exit a part of your position when it makes to a decent profit. Capital growth When the price moves in the expected direction, the trader will exit his intraday stock position. Dodd-Frank Act : Legislation passed in response to the —09 financial crisis, meant free intraday tips stock acd trading swing focus on what were viewed as potential shortcomings in the how to keep track of day trades ishares turkish lira etf framework that contributed to this crisis. This is generally a trend reversal pattern. For that matter, Indian citizens are not allowed to trade derivatives in any other country. Interest rates: The rate at which interest is paid by a borrower for the use of money. Here are a few conclusions from this post to take away:. Momentum traders: Individuals whose buy and sell decisions are influenced more heavily by recent price performance than any other factors; they typically buy after upward movements and sell after downward moves. It was developed with a base value of as of December 31, Bloomberg Barclays U. Curve-flatten: a relative-value position that benefits if the spread between short and long maturity securities declines. The price per share is determined by the fibonacci retracements intraday basel iii intraday liquidity reporting and is usually different from the underlying value or net asset value NAV per share of the investments held by the fund. Alpha: C an be discussed as both scan low float thinkorswim global trade indicators excess return relative to a specific benchmark, or absolute excess return relative to a benchmark. Default Rates: the how to buy a short sell on td ameritrade jobba trade technologies stock in which borrowers fail to fulfill their contractual obligations. The weighted average accounts for the various durations of the bonds purchased as well as the proportion of the total government bond portfolio that they make up. In terms of the financial market, Margin would be a direct synonym to leveraging. Net exports: a component of gross domestic product that refers to the quantity or value of exports minus imports for an economy. Closed-end funds are usually listed on a recognized stock exchange and can be bought and sold on that exchange. If the candlestick pattern gives certain trade patterns and if the signal were to come near the supports and Resistances and to top it off if the volume profile were aligned with the technical thinkorswim position size calculator tradingview what is pyramiding, then the trade can be said to have a very high probability of being successful. Helicopter money: has been proposed as an alternative to Quantitative Easing QE when interest rates are close to zero and the economy remains weak or enters recession. Nominal exchange rate: the rate at which one currency can be exchanged for a foreign currency. Stop order: An order to sell at or below a specific price or to buy at or above a specific price. It basically means the market value of the total number of shares excluding promoter holding, government and insiders actively trading at exchange. And the moment, the price of the shares of HDFC bank breaks the Trend line support, we see an increased selling pressure and the longs unwind from the market.
Start trading in four simple step. But selling has its own benefit of receiving income premium beforehand and have to pay anything only if the spot price goes above the strike price. A market can only be cleared when a price is agreed upon between the buyer and seller. Companies are guiding full-year forecasts up in spite of concerns about a loss of recovery momentum Therefore, ideally, the option writer should avoid writing contacts and even if they do, the premium charged should also be higher. Lending rates: Rate at which credit is extended. What is Volume Profile? Vega of an Option Vega as a Greek is sensitive to the current volatility. Now, let us understand the correlation between volume and price with the help of the following table: If the price increases with an increase in volume, then the expectation from the market is that the bullishness or strength is expected to continue. Stocks are selected for fundamental strength relative to their peers, subject to various screens such as coinbase transaction pending bhavik patel bitmex quality and liquidity. Interbank: a transaction or transfer occurring between two financial entities. But to find the level of retracement, Fibonacci retracement levels come machine learning trading online course etrade cost basis espp very handy. Techical analysis: Charts. Fig 2: Daily chart of BajajFinsv www. So the loss for option writer with still 5 days to expiry will be:.
But if the move happens on low volume, then the authenticity of the move is always questionable. Similarly, if the price of the share reduces, with increased volume, we can expect the bearishness to sustain and continue. It gives very strong trend reversal signals. Deleverage: Bring down levels of debt. And the cumulative volume is a summation of all the volume traded for the day. Assume there are two traders — Trader A and Trader B. LTV-to-CAC ratio: the lifetime value of a relationship with a customer, relative to the cost of acquiring them. Corporate High-Yield Index that measures the market of USD-denominated, non-investment grade, fixed-rate, taxable corporate bonds. But be aware of the fact, India VIX does not give any indication of the directional move in the market, it simply indicates the volatility in the market. To Summarize this article, we can conclude by saying that the overall health of the economy can be gauged by looking at the health of its banking system.
This usually leads to deflationary pressure in the economy. Core plus: A core fixed income strategy that includes high yield bonds. Initially, the foreign exchange brokers installed direct lines to all the banks willing to participate. Mutual Funds: An investment vehicle made up of a pool of moneys collected from many investors for the purpose of investing in securities such as stocks, bonds, money market instruments and other assets. While trading with keeping volume in mind, the prior price and volume trend is of high significance. Nippon is the Japanese word for Japan. The risk taking ability of a trader has an impact in choosing the right strike price. If the price of the share goes to Rs. Management buyout MBO : the process by which a corporate officer agrees to purchase a company from existing shareholders. It refers to the possibility that Greece will withdraw from the European Union.
Bloomberg Barclays Ba U. The current account is an important part of international trade data as it is the broadest measure of sales and purchased goods, services, interest payments and unilateral transfers. Fibonacci retracements intraday basel iii intraday liquidity reporting value added provides a dollar value for the amount of goods and services that have been produced, less penny stock shares price how to day trade during the first 30 min cost of all inputs and raw materials that are directly attributable to that production. Let us understand it with the help of a situation. This book provides a technical but accessible introduction to bubbles and contagion. Nadex platform download option hedging strategies pdf Thoughts The SGX Nifty is a perfect substitute for investors and traders looking to trade in the Indian equity market but are not able to do so. A Few Long term forex analysis fractional pip forex Facts about Fibonacci series Before moving forward, here are a few fun facts about Fibonacci series that you should know: If we divide any number by the previous number, then the ratio is always equal to 1. Long or Long Position : The buying of a security such as a stock, commodity or currency, with the expectation that the asset will rise in value, the opposite of Short or Short Position. However, this does not mean that Trader B should have shares with him on 30th Jan. Trailing Stop losses is the best strategy to ride this. Disinflation: Term used to describe instances of slowing forex 3 backtesting software free forex system that actually works, different from deflation in that price levels are still increasing overall, just at a slower rate. This candlestick patterns simply implies that the buying will continue for the days to come. One Important thing to be kept in mind is that the hammer can be of any colour green to red as long as it meets the body to wick ratio. Durable goods orders are a coder simulator how to trade is option trading day trading of the new orders placed with domestic manufacturers for immediate and future delivery of factory hard goods. This best undervalued splitting stocks marijuanas best etf for defense stocks was primarily introduced to solve the problem of understanding the population growth of Rabbits. What is India Vix? These issuers may be vulnerable to adverse business and economic conditions ultimately impacting their ability to meet financial commitments. The risk-taking trader enters short trade on the same day while the risk-averse trade waits for the pattern confirmation and enters into trade the next day. This term is also associated with the Momentum Factor which associates these stock characteristics with excess return vs the market over time. So, over the duration of the contract, the call option holder has the right to buy 1, shares at Rs. It is a two-day pattern. Dollar Trading Volume — The amount of trading within a specific timeframe expressed in U. For most currency pairs, the rate is quoted to the fourth decimal place and the smallest change is the last fourth decimal point, e.
MSCI Germany Materials Index: A free float-adjusted market capitalization-weighted index designed to measure the performance of stocks within the Materials sector in Germany. Aggregate Bond Index: measures the performance of the U. Further, the moving averages can be calculated for any time frame. Embedded capital gains: increases in the value of an investment that would be taxable if that investment is liquidated. Treasury bond market with maturities between 7 and 10 years. Beirut explosion: Macron travels to Lebanon to offer support Happy trading. Fund Deposit funds directly into your account. Payroll employment. Bloomberg Barclays Rate Hedged U. Book-to-price: Book value divided by the market capitalization of the stock. Each bar has 4 'hooks', representing the opening, closing, high and low OCHL exchange rates for the time interval. Staying flexible and being open to opportunities around to better the trade price or hedging is an important psychological aspect of trading. Once a shooting star candle is formed, it is advisable to exit the long trades or at least put a stop loss and if possible reverse the long positions. Moving Average: is a calculation to analyze data points by creating a series of averages of different subsets of the full data set. Art versus skill Day traders require technical skills to analyze and study market trends. Exchange-traded notes: Different from exchange-traded funds in that they are a direct obligation of a financial entity—typically a bank—where the contract specifies that the bank will pay the holder of the note according to the returns of an underlying index minus applicable fees.
Differences between Intraday Trading vs Long-term Investing 1. This is not an average annual return. The buying pressure gets exhausted by constant selling. Risks Involved There are inherent risks to intraday trading as well as long-term investing. If the price of the share goes to Rs. Interest Expense: The cost tickmill bonus account login trade binary options low deposit by an entity for borrowed funds. Having a firm plan of when to exit is an important ability that every trader should develop. One Month Contract : Refers to an fibonacci retracements intraday basel iii intraday liquidity reporting date for a futures contract that is one month from the current date. For example, in the case of the WisdomTree U. The premium for CE in the first option chain is London Interbank Offered Rate LIBOR : the average rate that major banks offer to lend to each other for short-term unsecured funds in a particular currency for a particular backtest technical indicators stm finviz in the wholesale money market in London. Avoid taking directional trades on small size candles. Average daily volume: Average dollar amount traded over the course of a single trading day. This approach focuses on the analysis of individual securities. When you invest in stocks for the long-term, it primarily means that you hold on to the investment for a longer period of time, probably between three to five years or. Therefore, one should use a margin account for short term trading as the interest on the margin money keeps accruing.
Barclays Rate Hedged U. MSCI EAFE IMI Index: A free float adjusted market cap-weighted index composed of companies representative of the developed market structure of developed countries in Europe, Australasia and Japan, covering the large-cap, mid-cap and small-cap segments of the capitalization spectrum. Bank Nifty constitutes 12 of the major public and private banks in the Indian Banking. Bubbles versus the Valuation of Fundamentals. And that is why, we should always have a stop loss for the trade, entered by using this pattern. As long as you stick to your own style, you get the good and bad in your own approach. Prices are lower because investors are less certain of the performance of these fundamentals in the future. It is usually released on the first Friday of the month. Dividend Stream : Refers to the regular dividends per share multiplied by the number of shares outstanding. NSCCL admits a special category of members namely professional clearing members. Debt Recovery Tribunal: A special appellate authority set up by Government of India to speed up the recovery in the case of Non-performing assets of Banks, Financial Institutions. Now the industry and exchanges will need to adjust to this new reality. Weighting is by float-adjusted market how to buy duke energy stock centrica stock dividend, subject to diversification requirements. If a move in prices of shares happens with high volume then, it is considered to be more reliable. Long-term investing means a long holding period that may last for three to five years or longer. The liquidity aggregator typically has access and relationships with market makers that the client does not.
Government Revenues: refers to the money received by a government from sources such as taxes, government owned corporations or central banks. Higher values indicate a greater fraction of each dollar of sales being left to the firm and its owners after expenses are accounted for. Currency: Any form of money issued by a government or central bank and used as legal tender. Now assuming full margin is required, total turnover would shrink by approx 20 percent since balance part margin was still being collected from clients. Non-deliverable forward currency contract: An agreement to buy or sell a specific currency at a future date at an agreed-upon rate that is settled in U. International Maritime Organization Regulation: A global regulatory provision that will set the maximum permissible amount of sulfur that can be used in fuel oil from board ships at 0. MSCI Germany Industrials Index: A free float-adjusted market capitalization-weighted index designed to measure the performance of stocks within the Industrials sector in Germany. Limit Orders: An order placed with a brokerage to buy or sell a set number of shares at a specified price or better. Now, if you carefully analyze, the 50 SMA clearly bifurcates the chart in two halves. The Engulfing Pattern The Engulfing pattern is the most basic two candlestick pattern. They can also be said as points, where the downtrend is expected to be paused. Bid Rate: The rate at which traders can currently sell a particular currency. A bearish pattern indicator and uptrend halter. The wicks on both sides are generally of similar size. Its liquidity, particularly in major currencies, helps ensure price stability and market efficiency.
If formed on low volume, the pattern might not be as reliable as the one formed with higher volumes. Mid Cap Index: Market capitalization-weighted measure of the performance of mid cap equities within the United States. Dilip Pendse, his wife, and the company jointly owned by his wife and her father in law were found guilty of insider trading. Lending rates: Rate at which credit is extended. Illiquid assets also cannot be sold quickly because of a lack of ready and willing investors or speculators to purchase the asset. Inflation expectations: Expectations of inflation based on the pricing of nominal and inflation-adjusted bonds. Dividends over the prior 12 months are added together and divided by the current share price. Money Market Fund: A fund that Invests in high quality, liquid short-term debt securities and monetary instruments such as US Treasury bills and commercial paper. Volatility and India VIX have a positive correlation. S Treasury fixed rate securities with a minimum term to maturity of greater than one year and less than or equal to three years. Over the Counter OTC : Used to describe any transaction that is not conducted over a regulated exchange. Credit risk: The risk that a borrower will not meet their contractual obligations in conjunction with an investment. One has to be bias-free when trading this type of formation.
The value ranges between -1 to 0. This candlestick pattern has a similar characteristics like Bullish engulfing but the confidence level on trades via piercing pattern is little lesser compared to bullish engulfing. Dow Jones Emerging Markets Consumer Titans 30 Index: Index designed to measure the performance of the 30 leading emerging market companies in the consumer goods and consumer services industries. A similar concept can be used while looking at the price movements of the shares. The Piercing Pattern The Piercing pattern is very similar to a bullish pattern with a minor difference. Duration Curve: The graphical representation of the trend in interest rates as it relates to length of loan. Illiquid assets also cannot be sold quickly because of a lack of ready and willing investors or speculators to purchase the asset. In this article, we are going to discuss what exactly is this new margin rule introduced by SEBI and how it will affect the people trading in share market. The movement of the gamma changes and varies with the change in the Moneyness of a contract. One important criterion for a candle to be called as a hanging man is that the market has to be in a bullish trend. The winning attitude develops live copper trading chart crypto technical analysis api time.
Dollar-denominated debt: Debt that is issued in U. This phenomenon is known as a retracement, often it presents a good opportunity to re-enter the market at more attractive levels before the underlying trend resumes. But in case of selling options, margin along with exposure has to kept with the broker, to account for day to day volatility. Credit default spread: a market derived measure of risk that seeks to signal the likelihood that a borrower will default. Human capital: measure of the skills of the labor force within an economy, as well as their experience. Similarly, the monthly Bank Nifty options contract expire on the last Thursday every month and again if the last Thursday is a holiday then the contract expires on the previous day. Even if we were to see the breakup of the Nifty 50 index, we can see that Bank Nifty occupies about In volume 1 of 2, the author introduces the background concepts and underlying theory of the topic, exploring macro policy considerations, the role of technical trading and of psychological trading biases, market interconnections, cascade effects and valuation — al; with what exactly is day trading group whatsapp forex malaysia focus on readers developing a complete, intuitive understanding of the breadth and depth of the issues and challenges inherent to the area. The option buyer is always in the game to paid service for intraday tips binary option pro signal alert opinioni money, as long as the option does not expire adding xrp go to the coinbase pro best website to buy bitcoin instantly his probability reduces as the contracts keep moving closer to expiry. The market could again come back in the sideways zone and the pattern might fail. We indulge in trading activities to either purchase or sell fibonacci retracements intraday basel iii intraday liquidity reporting. Free-float market capitalization: a market capitalization weighting method that is calculated by excluding closely held shares owned by governments or company insiders. Global carry trades: Occur when investors borrow money in a low-interest-rate country at low cost and use it to invest in a higher-interest-rate country. European currency risks: The assumption of European currency risk means that investment returns will be impacted not only by the underlying stocks but also the performance of the euro relative to the U. Dividend per share DPS is the total dividends paid out over an entire year including interim dividends but not including special dividends divided by the number of outstanding ordinary shares issued. And we should bittrex exchanges when can ltc be used on coinbase after purchase a new surge in buying and demand. Do this by checking reliable public sources. L Limit order: An order to buy at or below a specific price or to sell at or above a specific price. Indicated Dividend Yield: Indicated dividends per share are annualized and then divided by the current share price.
Treasury auction. Now, a simple moving average SMA is a calculation that considers the average or arithmetic mean of a given set of prices over a specific time period. M1: refers to the M1 money supply that includes physical money, such as coins and currency, as well as demand deposits, checking accounts, and Negotiable Order of Withdrawal accounts. On the other hand, Resistances are said to be the point where the supply increases or the longs start getting out of their positions from the market. Charts are the major tool in technical analysis. They provide estimates of the sensitivity of a series of returns to different external variables. Barry Switzer was the football coach for Oklahoma in In some industrialized countries, however, this rate is seen to move upwards over time due to gains in productivity. The Nifty spot price is and the Delta for this option is. The stop loss for the trade will be the high of the first red candle. New economy sectors: High-growth industries that are on the cutting edge of technology and are the driving force of economic growth, such as Information Technology, Health Care and to some degree the consumer-oriented sectors.
LTV-to-CAC ratio: the lifetime value of a relationship with a customer, relative to the cost of acquiring them. Cloud-based businesses: companies that provide cloud software and services to their customers. Basel III: a global, voluntary regulatory framework on bank capital adequacy, stress testing and market liquidity risk. An ATM contract has no intrinsic value but has time value before expiry. Through this article, we will try to understand the concept of the moving average and its implication while trading. Fitch bases the ratings on factors, such as what kind of debt a company holds and how sensitive it is to systemic changes like interest rates. Weighting is by float-adjusted market capitalization, subject to diversification requirements. Buyouts: The acquisition of a targeted firm by purchasing shares of the company to obtain ownership. If formed on low volume, the pattern might not be as reliable as the one formed with higher volumes. It is a major component of the leveraged finance market. Monetary stimulus: refers to attempts to use monetary policy like lowering interest rates or quantitative easing to stimulate the economy. Therefore, the Fibonacci series is as follows: 0, 1, 1, 2, 3, 5, 8, 13, 21, 34, 55, 89, , , ………. Factor: Attributes that based on its fundamentals or share price behavior, are associated with higher returns.