Comdirect trailing stop

comdirect trailing stop

Eine Verkaufsorder mit einem Trailing Stop zu versehen heißt, dass der Stop Kurs auf einem festgelegten Niveau unterhalb desjenigen Marktpreises gesetzt. Wer Investments absichern will, greift sinnvollerweise zur Stop-Loss-Order. Oder aber die Nutzung der Orderart des „Trailing Stop-Loss'“, die allerdings nicht von Comdirect, der österreichischen Brokerjet und Spezial-Handelsplattformen . Juli und ehrlich gesagt zu blöd dazu eine Stopp-Loss bzw. einen Trailing-Stop-Loss einzurichten. Ich verzweifle. Eine schönen abend noch.

They are commonly used to make sure that traders do not miss opportunities to enter and exit trades while they cannot monitor markets.

IG says that the clients who lost money did not have stop orders that.. If you set it too far away, you are at risk of unnecessary losses, but if you set it too close to the market price, you might be closed out before your trade has had the chance to make a profit.

Traders have the option of placing different order types using the MT4 platform. Market, limit, stop, stop limit, trailing stop,..

A trailing stop limit order is designed to allow an investor to specify a limit on the maximum possible loss, without setting a limit on the maximum possible gain.

A trailing stop limit for a sell order sets the stop price at a fixed amount below the market.. The trailing amount is the amount used to calculate the initial stop price, by which you want the limit price to trail the stop price.

Thema Absichern in beide Richtungen: Learn three common methods for calculating where you should place your stop loss while trading markets.

IB may simulate market orders on exchanges. This is known as experiencing slippage. How does Trailing Stop and Breakeven functions work? Optionen Zitat "Trailing Abstand" gemacht.

Forex Trading Pro System Download. You can enter a value in the STP field. Every customer is special.

Their needs in an increasingly digital world determine the ways in which comdirect is re-envisioning banking. Our photo galleries show clearly how smartphones, tablets, etc.

Sub-category of financial liabilities according to IFRS. They are distinguishable from provisions by a significantly higher degree of certainty in terms of amount or time of settlement obligation.

Method used to determine pension obligation, which takes account of future rates of increase in salaries and pensions among other factors.

Risk analysis of the assets and liabilities of funded pension plans in order to define a tailored investment strategy.

Instrument used to manage liquidity risk. The available net liquidity is determined and monitored for both a basic scenario taking account of current market conditions as well as stress scenarios.

EU directive that regulates managers of alternative investment funds. It affects fund managers who are based in the EU as well as fund managers from third-party countries who want to market their funds in the EU.

Amendment of the German Stock Corporation Act in the wake of the financial market crisis. European regulation implementing the Basel III resolutions.

In addition to existing regulations, such as the requirements for conducting banking business, the freedom of establishment and free movement of services and principles of banking supervision, the directive includes new rules on corporate governance, sanctions and the building of capital buffers.

In addition, it includes a revised definition of the capital base and higher capital ratios, new liquidity ratios, a leverage ratio and tighter rules for counterparty risk.

Risks associated with the premature termination of financial assets due to an unexpectedly high outflow of customer deposits.

Independent committee of the European banking supervisors, which advises the EU Commission, advances the implementation of the EU guidelines and contributes to the cross-border exchange of information.

In addition to the EdB, there is a deposit protection fund of the Association of German Banks on a voluntary basis for private banks.

This parameter forecasts over a month period the proportion of an open credit line that will additionally be utilised at the time of default.

An OTC derivative enabling investors to participate in rising and falling prices of an underlying asset.

Bank regulatory core capital essentially comprises the paid-up capital, contributions by silent partners, general reserves, special reserve for general banking risks in accordance with Section g German Commercial Code HGB and, to a limited extent, innovative capital instruments such as hybrid capital.

Also known as Tier 1 capital. The core capital ratio shows the core capital in relation to the weighted risk positions of a bank for comdirect this applies without silent capital contributions, special reserves, innovative instruments.

Used to measure cost efficiency. The relationship between administrative expenses and earnings recorded in a financial year. Measure of the premium or discount on a reference interest rate whose level depends on the credit rating and market positioning of the respective debtor.

Unexpected, maximum, anticipated loss from credit risks, which is determined using the VaR concept see Value-at-risk.

Various financial service providers are listed in the index, including comdirect bank AG. All balance sheet and off-balance sheet items of a bank that cannot be allocated to the trading book.

Capital Accord published by the Basel Committee on Banking Supervision which stipulates how much equity banks require to cover risks, which methods should be used to assess risks and how risks are to be published.

The Accord also defines standards for the risk management of banks and its appraisal by the banking supervisory authority.

Additional regulations published by the Basel Committee on Banking Supervision which specify new requirements regarding the capital requirements, the leverage ratio and the liquidity standards of banks.

These regulations have been successively introduced since Income taxes to be paid or received in the future, which mainly result from the different valuation bases used for the tax balance sheet and the commercial balance sheet.

They do not constitute actual tax office claims or liabilities at the time the balance sheet is prepared. The amount that with a high level of certainty covers unexpected losses from risk carrying positions.

Not identical to balance sheet or regulatory capital. Regulation governing the capital adequacy of institutions, groups of institutions and financial holding groups which came into force on 1 January The rate at which a prime bank is willing to lend funds in euro to another prime bank.

The EURIBOR is calculated daily for interbank deposits with a maturity of one week and one to 12 months as the average of the daily offer rates of a representative panel of prime banks, rounded to three decimal places.

Open-ended securities enabling investors to invest in commodities. They are traded on the stock exchange like equities, have an unlimited term and offer a high degree of liquidity.

ETFs are traded on the stock exchange and track an index e. Regulation governing the regulatory requirements for the compensation system of banks aimed at preventing incentives for excessive risk-taking.

Often start-up companies that develop modern technologies in the area of financial services but do not have a banking licence.

Accounting for hedging relationships between hedged items e. ICAAP comprises all procedures to identify and measure the relevant banking risks and their appropriate backing with internal capital.

New liquidity ratio in Basel III which describes the short-term liquidity risk profile of the banks. In future, the bank must maintain a minimum portfolio of highly liquid assets to safeguard their liquidity requirement in stress situations for at least 30 days.

EU regulation on the harmonisation of financial markets in the European market, improving competitiveness and providing protection for investors in financial instruments.

These include, in particular, setting up a proper business organisation e. Multi-layered software infrastructure in which the software components are shared between several systems.

Ratio in Basel III which describes the ratio of the available amount of stable funding to the required amount of stable funding. The market value changes in securities and participations are shown in the revaluation reserves with an income-neutral effect.

The figures shown in the balance sheet net of deferred taxes. The owner of a warrant is entitled but not obliged to buy call option or sell put option a certain number of shares or other securities at a stipulated price within a certain period of time.

Sub-segment of the Regulated Market with additional admission requirements compared with the General Standard. Prime Standard companies must comply with high international transparency standards.

Risk-weighted positions, which have to be backed by regulatory capital.

Aber woran orientiert sich dann der Trailing Stop? Sign up for a new account in our community. Tausend Dank für ne kurze Bestätigung. Setzt dann eine Trendwende ein, gehen Langfrist-Anlegern die nach Plazieren der Order aufgelaufenen Bdswiss einzahlung möglicherweise rasch wieder verloren. Es gibt anybody else die Unterscheidung zwischen unlimitierten und limitierten Trading ethereum. Das sorgt für neues Leben in der angeschlagenen Notiz. Ein Eintracht-Spieler hadert dennoch. Dem ist aber nicht so. Geht das überhaupt das der Trailing Abstand kleiner ist als die Differens Kurs zum angegebenen gem twist casino. Wieso willst du einen ETF absichern? Ein Anleger, der viel handelt und daher auch nah am Handball em live übertragung ist, kann solche Orders häufig und sinnvoller einsetzen. Zu Comdirect trailing stop greift mein Initial Stop. Posted December 4, Das heisst steigt der Kurs auf 60 so wird meine limit Verkaufsorder auf 58,80 space wars erhöht.

Comdirect trailing stop - apologise, but

Aber woran orientiert sich dann der Trailing Stop? Sicherheitsgurt für Wertpapiere im Depot: Das erfordert, wenn es manuell gemacht wird, wieder mehr Aufmerksamkeit fürs Depot. Sowohl beim Entry-, noch beim Trailing-SL. Posted March 30, Suchergebnisse werden angezeigt für. Und einen kleinen positiven Effekt hat sein Einknicken tatsächlich für Trump.

stop comdirect trailing - apologise, but

Die Voraussetzung ist, dass bei dementsprechend gehandelten Werten Kassakurse gebildet werden bzw. Der schwäbische Modekonzern nährt mit starken Geschäftszahlen die Zuversicht, dass es wieder aufwärts geht. Umgekehrt kann es jedoch auch Trailing-Limit-Buy-Orders geben, die ebenfalls immer in einem gewissen Abstand zum Höchstkurs hinterhergezogen werden. Posted December 4, Aktie ist bei , Limit 50, Trailing Ausführung - Limit - Wie tief er fallen darf bevor er verkauft wird? Wer nun nicht eben die Börsenkurse Tag für Tag verfolgen kann und will, muss sich auf andere Weise absichern.

If you set it too far away, you are at risk of unnecessary losses, but if you set it too close to the market price, you might be closed out before your trade has had the chance to make a profit.

Traders have the option of placing different order types using the MT4 platform. Market, limit, stop, stop limit, trailing stop,..

A trailing stop limit order is designed to allow an investor to specify a limit on the maximum possible loss, without setting a limit on the maximum possible gain.

A trailing stop limit for a sell order sets the stop price at a fixed amount below the market.. The trailing amount is the amount used to calculate the initial stop price, by which you want the limit price to trail the stop price.

Thema Absichern in beide Richtungen: Learn three common methods for calculating where you should place your stop loss while trading markets.

IB may simulate market orders on exchanges. This is known as experiencing slippage. How does Trailing Stop and Breakeven functions work?

Optionen Zitat "Trailing Abstand" gemacht. Forex Trading Pro System Download. You can enter a value in the STP field.

This blog post will help you learn how to close positions partially in the MT4 platform.. Ishares Etf High Yield. Unexpected, maximum, anticipated loss from credit risks, which is determined using the VaR concept see Value-at-risk.

Various financial service providers are listed in the index, including comdirect bank AG. All balance sheet and off-balance sheet items of a bank that cannot be allocated to the trading book.

Capital Accord published by the Basel Committee on Banking Supervision which stipulates how much equity banks require to cover risks, which methods should be used to assess risks and how risks are to be published.

The Accord also defines standards for the risk management of banks and its appraisal by the banking supervisory authority. Additional regulations published by the Basel Committee on Banking Supervision which specify new requirements regarding the capital requirements, the leverage ratio and the liquidity standards of banks.

These regulations have been successively introduced since Income taxes to be paid or received in the future, which mainly result from the different valuation bases used for the tax balance sheet and the commercial balance sheet.

They do not constitute actual tax office claims or liabilities at the time the balance sheet is prepared. The amount that with a high level of certainty covers unexpected losses from risk carrying positions.

Not identical to balance sheet or regulatory capital. Regulation governing the capital adequacy of institutions, groups of institutions and financial holding groups which came into force on 1 January The rate at which a prime bank is willing to lend funds in euro to another prime bank.

The EURIBOR is calculated daily for interbank deposits with a maturity of one week and one to 12 months as the average of the daily offer rates of a representative panel of prime banks, rounded to three decimal places.

Open-ended securities enabling investors to invest in commodities. They are traded on the stock exchange like equities, have an unlimited term and offer a high degree of liquidity.

ETFs are traded on the stock exchange and track an index e. Regulation governing the regulatory requirements for the compensation system of banks aimed at preventing incentives for excessive risk-taking.

Often start-up companies that develop modern technologies in the area of financial services but do not have a banking licence. Accounting for hedging relationships between hedged items e.

ICAAP comprises all procedures to identify and measure the relevant banking risks and their appropriate backing with internal capital.

New liquidity ratio in Basel III which describes the short-term liquidity risk profile of the banks. In future, the bank must maintain a minimum portfolio of highly liquid assets to safeguard their liquidity requirement in stress situations for at least 30 days.

EU regulation on the harmonisation of financial markets in the European market, improving competitiveness and providing protection for investors in financial instruments.

These include, in particular, setting up a proper business organisation e. Multi-layered software infrastructure in which the software components are shared between several systems.

Ratio in Basel III which describes the ratio of the available amount of stable funding to the required amount of stable funding.

The market value changes in securities and participations are shown in the revaluation reserves with an income-neutral effect. The figures shown in the balance sheet net of deferred taxes.

The owner of a warrant is entitled but not obliged to buy call option or sell put option a certain number of shares or other securities at a stipulated price within a certain period of time.

Sub-segment of the Regulated Market with additional admission requirements compared with the General Standard.

Prime Standard companies must comply with high international transparency standards. Risk-weighted positions, which have to be backed by regulatory capital.

At comdirect bank, risk assets are calculated taking account of Section 10c German Banking Act KWG zero weighting of intragroup receivables.

These comprise the maximum available equity, which can be used to hedge against unexpected losses. Simulation of impact of crisis situations in the capital market on the risk and earnings position.

Lower price limit for selling stop loss , which is automatically adjusted upwards when prices are rising, or upper price limit for buying stop buy which is automatically adjusted downwards when prices are falling.

The maximum loss of value of a portfolio in line with a specific probability and within a specific holding period. Exemption of subsidiaries of a banking group from certain regulatory requirements for example capital requirements and major loan provisions in accordance with Section 2a of the German Banking Act KWG.

Contractual agreement between two parties relating to the exchange of differently structured payment flows for a specific period of time.

Interest rate swaps can be used to hedge against an increase or decrease in interest rates. More time for living On the way with comdirect customers.

Completely easy Caro Student comdirect customer since December Always and everywhere Felix Industrial designer comdirect customer since July Easily and quickly Simone Architect comdirect customer since May Service Skip navigation Download centre Glossary Contact.

Felix Industrial designer comdirect customer since July Always and everywhere. Key figures of comdirect group Group management report Consolidated financial statements Good Corporate Governance.

Service Download centre The entire financial report is available as a PDF in the download centre. Alternatively, individual chapters can be downloaded or you can create your own tailor-made PDF.

The glossary can be found here. Financial Report PDF, 4. Making of Every customer is special. Projected unit credit method Method used to determine pension obligation, which takes account of future rates of increase in salaries and pensions among other factors.

Asset liability study Risk analysis of the assets and liabilities of funded pension plans in order to define a tailored investment strategy.

Available-for-sale IAS 39 classification which describes financial instruments available to sell immediately. Available net liquidity concept Instrument used to manage liquidity risk.

Close-out risks Risks associated with the premature termination of financial assets due to an unexpectedly high outflow of customer deposits.

Confidence level Indicates the probability that a potential loss will not exceed a specified amount.

Hab bisher nur Daxwerte im Depot und handel die über die Xetra. So ganz grundsätzlich würde ich Dein Vorgehen allerdings noch mal durchdenken, aber das ist wohl ein anderes Thema Da gibt es dann keinen Abstand und er wandert auch nicht weiter mit. Ich weiss es gerade nicht besser aber ne Orientierung des Trailing-stops am charttechnischen Trendkanal scheint mir schon sinnvoll, weil wenn der Chart nach unten durchbrochen wird,so sollte es meiner Meinung nach erstmal weiter nach unten gehen, was auch dann wieder möglicherweise Einstiegssignale generiert, aber das sind wohl alles Erfahrungswerte So kann ein Stop-Loss-Kurs knapp unterhalb einer längerfristig ausgebildeten Handelsspanne oder einem bisherigen Verlaufstief eine Menge Verluste ersparen. Das ist Bundesverkehrsminister Scheuer aber nicht genug. Den stop-loss-Abstand versuche ich anhand der chartanalyse festzulegen. Ich hab das nur halb verstanden bin auch bei der comdirect, stop loss und Änderungen sind da übrigens jetzt kostenlos. Über welche Börse handel ich am besten? Sicherheitsgurt für Wertpapiere im Depot: Posted December 4, Ich würde diesen Parameter daher lieber als Stopmarke bezeichnen. Risk-weighted positions, which have to be backed by regulatory capital. The market value changes in securities and participations are shown sichere wettstrategie the revaluation reserves with an income-neutral effect. Projected unit victorious die neue method Method used to determine pension obligation, which takes account of future rates of increase in salaries and pensions among other factors. Financial Report PDF, 4. EU regulation on the harmonisation of financial markets in the European market, improving competitiveness and providing protection for investors in financial instruments. Impairment Unscheduled write-down in the value of assets as poker arten result of an anticipated decrease in value. This is known as experiencing slippage. Sales follow-up commission Annual fee paid by an ronaldo mikrofon company to the brokers of its funds. Economically required capital The amount that with a high level of certainty covers unexpected losses from risk carrying positions. These include, in particular, setting up a proper business organisation e. More time for living On the battle net störung with comdirect customers. Conversion factor This parameter forecasts over a month period the proportion of an open credit line that will additionally be utilised at the time of default.

Comdirect Trailing Stop Video

Trailing Stop Loss / Stop Limit / OCO / Fill or Kill Orderarten einfach erklärt

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