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 9 Best Forex Trading Courses in 2020 • Learn Forex • Benzinga

9 Best Forex Trading Courses in 2020 • Learn Forex • Benzinga

Algominr

An algorithmic trading platform for machine learning, rapid prototyping, automatic code generation and more. www.algominr.com
[link]

Futures Trading

FuturesTrading is a place to: Share and discuss news pertaining to futures, commodities, etc. Share futures trading insight and tips All asset classes (stocks, bonds, mutual funds, ETFs, options, commodities, etc.) and markets (U.S./International) are open
[link]

GlasgowIndians

GlasgowIndians
[link]

Best Online Forex Classes. $200

I 👏 have 👏 found 👏 the 👏 best 👏 forex 👏 classes 👏 online 👏 for 👏 both 👏 beginners 👏 and 👏 experienced 👏 traders 👏
It 👏 costs 👏 only 👏 200 👏 bucks 👏
Assuming 👏 you 👏 have 👏 not 👏 already 👏 gone 👏 deaf 👏 due 👏 to 👏 all 👏 the 👏 clapping, 👏 PM 👏 ME 👏 for 👏 more 👏 details 👏
THANK 👏 YOU 👏
submitted by PM_ME_M0NEY to forex2 [link] [comments]

Free Forex Classes

submitted by Aldrin100 to u/Aldrin100 [link] [comments]

FOREX classes

Is their any class given in concordia that teaches about the forex market?
submitted by darkyconcordia to Concordia [link] [comments]

Professional forex trading course by Ravens_Forex, class 1

Professional forex trading course by Ravens_Forex, class 1 submitted by Ravens_Forex to u/Ravens_Forex [link] [comments]

Second U.S. law firm files London forex class action

Second U.S. law firm files London forex class action submitted by dreammanalishi to ConservativeNewsWeb [link] [comments]

OANN: Second U.S. law firm files London forex class action

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Second U.S. law firm files London forex class action

Second U.S. law firm files London forex class action submitted by thefeedbot to OneAmericaNews [link] [comments]

[Business] - Second U.S. law firm plots rival London forex class action

[Business] - Second U.S. law firm plots rival London forex class action submitted by AutoNewsAdmin to REUTERSauto [link] [comments]

[Business] - Second U.S. law firm plots rival London forex class action | REUTERS

[Business] - Second U.S. law firm plots rival London forex class action | REUTERS submitted by AutoNewspaperAdmin to AutoNewspaper [link] [comments]

OANN: Second U.S. law firm plots rival London forex class action

OANN: Second U.S. law firm plots rival London forex class action submitted by thefeedbot to TheNewsFeed [link] [comments]

Second U.S. law firm plots rival London forex class action

Second U.S. law firm plots rival London forex class action submitted by dreammanalishi to ConservativeNewsWeb [link] [comments]

Second U.S. law firm plots rival London forex class action

Second U.S. law firm plots rival London forex class action submitted by ocamlmycaml to EconNews [link] [comments]

Second U.S. law firm plots rival London forex class action

Second U.S. law firm plots rival London forex class action submitted by thefeedbot to OneAmericaNews [link] [comments]

Low bankroll beginner options

I've played around paper trading, read a couple books, and lurked a few forums for a while, but I'd like to start live trading in the mornings. I unfortunately do not have the $25k to put into trading yet, especially with the possibility of losing quite a bit while I'm still learning. I have about 5-7k I can bankroll, what would you recommend I start with? Less than 3 trades a week? Futures? Swing trading? Forex? I personally like the idea of Forex for now, but I have no knowledge there so I've been looking at different forex classes like the one from Investopedia. Thoughts?
submitted by vitaferox to Daytrading [link] [comments]

(JA) I want to help my parents because times are rough and I'm thinking of doing forex trading.

I'm a (20m) living in Jamaica and I'm going to university. I'm unable to go out to work do to COVID because I have some underlying health conditions that could put me at a higher risk so my family is adamant on me staying inside. In the past 2 months, my parents lost half their income and its getting worse. I bought a forex class from Udemy and I really want it to work out. The sad thing is I only have like $120us and if I lose that it would be really hard to come by that money again for a bit. so my question is should I give it a shot or should I try and look into other options.
Appreciate all advice.
edit: thanks for all the advice guys. I didn't go through with the forex trading. I convinced my parents to make more involved their business and I'm trying to think of new innovative ways to help them make more money. I'm also gonna try to learn more skills so I can try and make somehow. It's not too good now but I believe I'll be alright hopefully.
submitted by Jmanhall to personalfinance [link] [comments]

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submitted by alia844 to Courses [link] [comments]

Forex Training Classes 9003344190

Forex Training Classes 9003344190 submitted by FxAnbu123 to u/FxAnbu123 [link] [comments]

Is there a forex trading relating class?

I see tons of people saying its a scam or it isnt a scam. I saw lots of schools are teaching it now. Does anyone know if theres a class like this at LB?
submitted by Shackdd to CSULB [link] [comments]

人民币贬值重伤手机厂商利润 或又倒掉一批小厂zt by 震三江 on 2016-11-24

IHSTechnology中国研究总监王阳表示,今年好几个大的手机厂商都亏得厉害,明年越亏越多,挺不住的就得倒掉
一个多月来,人民币汇率犹如坐上了滑梯,一路滑下,在即将跌至6.90关口之时,人民币对美元中间价结束了12连跌的戏码。部分分析人士认为,人民币回调主要受到美元指数小幅走跌的影响,之后,人民币贬值的压力仍然存在。
国信证券指出,人民币贬值利好海外业务收入占比高的行业。在各个出口目的地国家中,我国对美国和欧盟的出口金额占比超过1/3。例如,2015年前11个月,我国出口美国和欧盟的出口金额占比达到34%,因此人民币兑美元和欧元贬值将利好出口型企业。从A股上市公司2015年中报的海外业务收入占比情况看,电子、国防军工、家用电器、计算机、纺织服装等行业的海外业务收入占比超过20%。
不过,单从手机行业来看,除了华为、中兴这样全球化的公司会相对好一些之外,人民币贬值对手机厂商利润的伤害普遍存在。
全球化公司影响不大
仅从手机业务来看,中兴和华为海外市场均占比较高。
2015年,中兴在美国一共卖出了1500万部手机,一跃成为美国第四大手机供应商,也是目前占领美国市场份额最大的中国手机企业。在其他国家,如澳大利亚、俄罗斯等,中兴也都是行业前五之列。在亚太地区、拉美和欧洲的手机市场,中兴手机的销量全面攀升。在中兴手机的全球版图中,海外市场占到了营业收入的70%。
IHS的数据显示,2015年华为手机全球出货量1.09亿,中国市场出货量6300万,中国市场销量占比达到57.8%,对国内市场依赖较大。不过华为2016年上半年财报显示,其消费者业务海外市场增速在提快。
根据华为2016年上半年财报,华为消费者业务在高端市场站稳脚跟,并开始突破多个海外国家和地区。华为消费者业务上半年完成销售收入774亿元人民币,同比增长41%;智能手机发货量6056万部,同比增长25%。其中,在中国市场,华为消费者业务增长18.6%(Gfk统计),份额位居第一,而海外市场增速是中国市场1.6倍。
而终端消费者业务只是华为和中兴业务的一个部分,其运营商业务和政企业务更是在海外有良好基础。
根据中兴通讯2016年半年报,报告期内,集团国际市场实现营业收入199.54亿元人民币,占集团整体营业收入的41.78%。其中,欧美大洋洲区域业务营收为96.19287亿元,据《证券日报》记者计算,占比为20.14%。
因此,对于中兴和华为这样的全球化公司来说,人民币贬值的影响不会太明显。中兴发言人此前在对此问题回应时表示,人民币贬值有助于抵消汇率损失,中兴预计人民币贬值对公司营收可以起到正面作用。华为方面在回复《证券日报》记者时也表示,华为作为全球化的公司,人民币贬值的正面影响和负面影响一叠加,基本也就没什么影响了。
重伤小厂利润
不过,对于另外那些主要以国内市场为主的手机厂商来说,人民币贬值带来的压力就显而易见了。
IHSTechnology中国研究总监王阳告诉《证券日报》记者,手机绝大部分关键器件都是美元报价,人民币贬值增加了手机厂商成本,对利润影响很大,明年手机小厂会倒掉一批,“小厂先倒,然后就是一些大厂。今年好几个大的手机厂商都亏得厉害,明年越亏越多,挺不住的就得倒掉。”
“本来人民币贬值有利于出口,但很多发展中国家的货币贬值得更厉害,这就进一步伤害了手机厂商的利润。很多公司都是直接去印度、印尼建工厂以减少汇率的影响。在欧美市场生意多的公司会相对好很多。”王阳解释道。
有手机大厂内部人士在与《证券日报》记者交流时表示,按照常理来说,进口的元器件更贵了,对企业利润是会有影响的,但是目前来看还好,因为元器件订货周期长,而且我们商业模式很健康,不是那种亏本赚吆喝的企业。保持利润是一个企业的正确追求。利润冲击大的一定先是商业模式不健康的企业。
除了人民币贬值,原材料涨价也给手机厂商带来压力。
王阳告诉《证券日报》记者,现在铜、金等原材料价格也在涨。如果一直涨的话,手机厂商也要涨价。
有另外的手机厂商内部人士向《证券日报》记者确认,现在手机基本都在涨价。
OPPO副总裁吴强此前在与《证券日报》等媒体交流时即透露,手机上游屏幕、内存等配件存在不同幅度涨价。对于OPPO新机R9sPlus的定价,吴强坦白称,一开始不是3499元,原来想定在3699元,原因之一就是整个供应链吃紧,原材料成本上涨。
供应链吃紧,物料涨价,这让国内手机厂商感到棘手。上游原材料的上涨成本得想办法转嫁或者消化,这本身也将是对国内手机厂商的考验。毕竟,反映到手机消费者购买选择上,性价比是一个重要考量因素。
王阳预计,“明年手机厂商会做高价格的手机多一些,毕竟这种利润好些。”
http://finance.qq.com/a/20161124/004268.htm
submitted by robot301_03 to kfq [link] [comments]

GDP增速进入“6”时代 2016年中国经济怎么走 by 戈壁家老王 on 2016-01-19

腾讯财经特约自媒体 民生宏观 作者 民生证券研究院执行院长管清友 宏观研究员朱振鑫、张瑜
联系人:张瑜(deany-zhang)

2015年GDP增速最终收于6.9%,正式进入6时代。
① GDP全年目标7%,完成来看,四个季度当季同比分别为7%、7%、6.9%、6.8%,全年6.9%,预计2016年经济增长在6.5-6.6%。
2015年经济整体几乎是“平”的,但内部结构发生了较大改变。正向贡献主要来自于金融业与房地产业:金融业贡献增加(2014年四季度0.95%提升至目前的1.31%,以下数据皆为同期),前半年主要靠牛市的金融民工(二季度日均交易额峰值达到2万亿),后半年主要靠贷款的银行民工(2015年新增贷款同比增速高达15%,而2014年仅为9.8%);房地产销售回暖下的房地产业贡献增加(0.11%提升到0.29%)。反向拖后腿主要来自于工业与建筑业:传统工业在产能过剩、杠杆高企、库存过多的三座大山下负重前行,基本供过于求、价格跌成白菜、利润下滑不止的局面没有改变,工业贡献从2.29%降低至1.92%,稳增长的边际改善难以完全对冲下滑,工业增加值不见起色,2015年累计增速6.1%为危机以来最低值;建筑业贡献下滑(从0.71%降至0.42%),主要原因包括,房地产由于老龄化与高库存,销售并未能有效传导至开工,基建虽然刺激政策颇多但效果并未有效释放。
展望2016,经济下台阶是必然,或许真的要跟7%说再见。房地产人口老龄化同时库存高企,制造业面临去产能且“锈带”重生需时间,出口尚未企稳叠加汇率波动喜忧参半,基建是唯一的依靠但是也是托而不举,金融业的繁荣不可持续,房地产销售已经回落,下台阶几成定局,预计2016GDP增长6.5-6.6%。

② CPI全年目标3%,完成来看,年度CPI 1.4%,预计2016年1.6%。
首先,2016年翘尾因素略高于2015年。其次,2015年猪价上行因素明显,考虑到猪价上涨带动补栏以及明年总需求依然不强,2016猪价继续强势的概率不大。最后,2015年Brent原油价格较2014年接近腰斩,对CPI新涨价因素拖累明显,考虑到2016原油供需缺口收窄,美元指数阶段性见顶,地缘政治刺激,油价将有正向贡献。第四,在经济下行的基本判断之下,其它价格因素的贡献应该也略低于今年。综合看2016年CPI约为1.62%,且全年呈现倒N型。

③ 固定资产投资增速全年目标15%,完成来看,10.1%,预计2016年9.4%。
2015年房地产开发投资增速1%,2014年10.5%,2016年-3%。当月投资同比依然停留在负区间,但跌幅收窄至-1.9%(前值-5.1%),没有明显企稳迹象。过去十多年全国累计新开工174亿平米,而销售只有117亿平米,其中还有相当一部分是二手房(保守估算有30%左右),供给与销售之间的差额达到惊人的90亿平米。更可怕的是,2014的新开工面积(14亿平米)依然大于销售面积(13亿平米)。如果新开工和销售按此增速持续下去,那么库存也需要10年来消化。由此推断房地产开工和投资都还没有见底,预计2016年房地产投资增速-3%。
2015年制造业投资9.1%,2014年13.5%,2016年5%。PPI已46个月为负,利润同比也一直为负,考虑到煤炭行业2015、2016的新增产能依然有3亿吨左右/每年,粗钢行业2015、2016的新增产能也还有3000万吨/每年,产能去化尚未实质开始,需求萎靡下,产能不去,库存难下,利润难起,杠杆难消,投资难升,不下勇气刮骨疗伤,起色难有。细项来看,计算机、通信、汽车制造业表现良好,传统资源依旧跌跌不休。考虑产能去化周期较长,预计2016年制造业投资继续下滑至5%。
2015年基建投资预计17.8%,2014年21.5%,为保明年GDP6.5%,2016年基建投资至少要为18.7%。供给侧改革并不是不需要基建,恰恰相反,基建将更为重要,只能靠基建。去库存去产能去杠杆之下的房产、制造业、私人部门投资都会下滑,需要基建对冲;补短板下的落后地区基础设施缺口大,需要基建补充。未来基建的存量项目融资继续通过放松平台融资和债务置换来保证;增量资金来源主要靠PPP和专项建设基金,共计4万亿左右。详情可参考《2016是基建投资大年(民生宏观微观察)》报告。

消费品零售总额全年目标增速12%,实际11.1%,2016年预计10.6%。
2015年消费四平八稳,二季度开始一直呈现稳中弱升的态势,在诸多经济数据中一枝独秀,从细项来看,由于房产销售转暖,家电、家具、建筑装潢提振明显;由于14年反腐冲击下基数较低,15年金银珠宝零售大幅回暖,汽车在四季度受到减税撤限的刺激大幅回升,但全年来看仍旧拉后腿。展望2016年,房产销售注定不可持续,其实2015年四季度已经出现回落;16年反腐基数效应减弱,金银珠宝零售或回归正常;汽车2015年政策的刺激效应依旧会继续释放,且不排除后续汽车下乡等刺激政策的出台,但汽车毕竟已经进入了增长平滑期,过去两位数的增长也难以再现了,因此2016年消费呈小幅回落,预计10.6%。
http://finance.qq.com/a/20160119/024899.htm
submitted by robot301_02 to kfq [link] [comments]

Is learning Forex from an Institute a good option?

Hi Folks !
I'm wondering whether I should go to Forex classes or start investing a small sum and learn the practical approach. Though lot of resources are available online but would love to know from the experts. A little help please.
submitted by JacobSpidey to Forex [link] [comments]

亏两亿也坚决要走!王健林2.7亿欧元卖掉马德里地标zt by 震三江 on 2016-07-06

王健林最终决定卖掉马德里地标建筑,从西班牙撤资。
7月22日,万达酒店发展(00169.HK)发布公告称,万达欧洲地产投资有限公司与西班牙Baraka公司签订了一份不具有法律约束力的谅解备忘录,内容有可能涉及向Baraka出售西班牙大厦,代价为2.72欧元,比万达当初以2.65亿欧元买下的价格略高一点。
但是,两年来汇率却发生了变化。
如果以人民币为单位来计算,2014年万达买下西班牙大厦时花费了约22亿元。以目前的汇率来换算,此次以2.72亿欧元出售西班牙大厦,换算成人民币的话约为20亿元。若该部分资产以人民币来估算,那就意味着王健林亏损了约2亿元。
根据谅解备忘录,Baraka已经向万达支付了100万欧元作为保证金。由于目前可能出售的事项仍处于讨论及磋商中,还须等待双方最终协定。
万达与马德里市政府持续了一年半时间的“拉锯战”终于要落下帷幕了。
2014年2月,万达以2.65亿欧元收购了马德里的地标建筑——西班牙大厦。该项目共有25层,高117米,总占地面积4655平方米,计划重新发展为有200间客房的豪华酒店、高级零售空间及大约300个住宅式公寓的综合物业,预期建筑面积约为83228平方米。
然而,该项目却遭到了马德里政府的阻碍。
万达表示出于安全考虑,提出要完全拆毁大厦,一砖一瓦重建的要求。但该提议在马德里新上任的市长那里得到了否决。在这之后,万达方面与马德里政府进行了多次的商谈,而马德里市长卡梅纳和马德里城市可持续发展部门主席也曾先后强调万达不会离开西班牙。
尽管马德里市政府曾对万达作出了让步,同意接受之前万达提出的拆除西班牙大厦,并以原先的材料、形状和尺寸重建的要求。但最终,万达对马德里市政府失去了兴趣,拒绝了当地政府提出的一份复杂的修复西班牙大厦的计划。
王健林在5月22日的央视财经频道的《对话》访谈节目中曾表示,本来预计在西班牙还有更大的旅游投资项目,现在也决定不投资了。
http://finance.qq.com/a/20160722/042788.htm
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