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Equity Trading


An afternoon dedicated to trading, analisys of  the Italian market, correlation between the main indices, and volatility. Three traders will share their market vision, their strategies and above all, professionality behind being a trader.

Main contents

Friday 30th October, from 2.15pm to 4.30 pm

Luca Bagato

  • Prime risk and S&P500 rally form march ’09 to september ’09
  • The correlation between S&P500 and FtseMib
  • A quantitive approach for a mid term tactical positioning on the Italian market.

Sante Pellegrino

  • Trend and Volatility analysis applied to FTSEMIB
  • Correlation between world markets
  • Real time real money trading and Profit and Lose management

Friday 30th October, from 4.30pm to 6.00 pm

Roberto Vernaleone

ScalpTool

  • Vertical book dispositivo e informativo 
  • “Mani Forti”, “Buy&Sell”, “Ordini Asteriscati” indicators which allow to analyse the market 
  • Speed of orders management verifiable through a specific indicator
  • Priority management 
Last update:  October 12 2009 - 11:35

registration
special contents
Derivatives School
ETF day
Equity Trading
Bond Time
Area master
Trading Arena
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