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  1. #1
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    : 382
    : Dec 2008
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    m7kma





     

     









    , , .



    Bid
    offer
    Quote
    Entry
    Chart
    Margin
    Volatility
    Deficit
    Commission
    Contract(lot)
    Currency
    Inflation
    Economic Indicator
    ECB
    BOJ
    BOE
    FED
    Forex
    Fundamental Analysis ()
    Unemployment
    Initial Claim
    Inte r e s t Rate
    Hedge ,
    Day Trading
    Deposit
    Bull Market
    Bounce
    break
    Cable
    Candlestick
    Central Bank
    Long
    Margin Call 75%
    Market Maker
    Pip ( )
    Position
    Resistance
    Risks
    Short
    Support
    Technical Analysis








    :

    A
    Accrual =
    Adjustment = /
    Appreciation = / /
    Ask Price =

    B
    Balance of trade =
    Bear Market =
    Bid price =
    Bid price =

    Buy =

    Broker = /
    Bull Market = ϡ

    C
    Cash market =
    Central Bank =


    Closed Position =
    Collateral = /
    Commission =
    Confirmation =
    Contract =
    Cross Rate =
    Currency Symbol =
    Currency = /
    Currency Pair=
    Currency Risk =

    : || : Cat || :

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  2. #2
    :
    : 382
    : Dec 2008
    : 1,473
    : 10
    Array
    : 13
    Array

    m7kma :


    D
    Dealer =
    Deficit =
    Delivery =
    Depreciation =
    Derivative =
    Devaluation =

    E
    Economic Indicator =
    European Monetary Union =
    Euro =
    European Central Bank =

    F
    Federal Reserve =
    First In -First Out =
    Foreign Exchange =
    Forward =
    Fundamental Analysis =
    FX =

    G
    Gross Domestic Product =
    Gross National Product =

    H
    Hedging =

    I
    Inflation =
    Intervention =

    L
    Leading Indicators =
    Leverage =
    Liquidation =
    Liquidity =

    M
    Margin = /
    Maturity =

    O
    Open Order =
    Open Position =
    Overnight Position =
    Order =

    P
    Pips =
    Political Risk =

    Q

    Quote :



    R
    Range = / /
    Rate = /
    Resistance =
    Revaluation =
    Risk =
    Risk Managment =

    S
    Sell =

    Settlement = /
    Spot Price =
    Spread =
    Sterling =
    Stop Loss Order =
    Support Levels =
    Swap = / /

    T
    Technical Analysis =
    Transaction cost =
    Turnover =

    U
    Unrealized =

    V
    Volatility = /




       

  3. #3
      El Designer
    :
    : 936
    : Apr 2009
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    : 13
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  4. #4
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    : Feb 2009
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    : 11
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    : 37
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