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how to trade if real edge has variable volatile range?

  • Post #1
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  • First Post: Edited Dec 13, 2015 11:01am Dec 3, 2015 6:12pm | Edited Dec 13, 2015 11:01am
  •  allngap
  • | Joined May 2009 | Status: Member | 97 Posts
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  • Dec 3, 2015 7:00pm Dec 3, 2015 7:00pm
  •  tashkent
  • Joined Oct 2011 | Status: quo | 4,193 Posts
Quoting allngap
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i've been studying "real large position" instead of charting method for quite some time now. the thing that i cannot figure out is that how to factor in different volatility range when the edge shows accumulated buying or selling at a certain price. as in we are unable to catch the falling knife, why is it so in the real world ?? 1. bankers buy on the way down (accumulate on the way down), vice versa 2. they have unlimited money 3. as above, when they have unlimited money, they may use averaging on the way down or vice versa 4. we cannot hold position...
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your assumptions about the banks are simply incorrect and this invalidates your whole point
As Above, So Below
 
 
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  • Last Post: Dec 3, 2015 8:12pm Dec 3, 2015 8:12pm
  •  allngap
  • | Joined May 2009 | Status: Member | 97 Posts
Quoting tashkent
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{quote} your assumptions about the banks are simply incorrect and this invalidates your whole point
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i've got a method to see where these accumulation points,

sometimes the turning point happens at the level that i anticipate, sometimes it goes to the next level before reversing.
right now i need to find a way to counter this volatility issue only
 
 
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