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Parabolic SAR
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The Parabolic SAR indicator is always in the market (whenever a position is closed, an opposing position is taken). The Parabolic SAR indicator is most often used to set trailing price stops. A stop and reversal (SAR) occurs when the price penetrates a Parabolic SAR level.. It is an indicator that is a very useful and accurate tool during a trending period. Parabolic SAR should only be employed in trending markets - when it provides excellent entry and exit points. It is plotted in a rather unorthodox fashion- a stop loss is calculated for each period using the previous periods data. The advantage is that the stop level can be calculated in advance of the market opening. Parabolic SAR' is an indicator that is very useful during a trending period. It sets trailing price stops for long or short positions. SAR stands for 'stop and reverse'. The term 'parabolic' that resembles a parabola comes from the shape of the curve created on the technical chart. Parabolic SAR is called a reversal system that is used to decide stop point & to estimate when to reverse a position & trade in the opposite direction. It is an outstanding indicator commonly used day trading to provide exit point. The first entry point on the buy side occurs when the most recent high price of an issue has been broken and it is at this time that the SAR is placed at the most recent low price. As the price of the instrument rises, the dots will rise as well, first slowly and then picking up speed and accelerating with the trend. The SAR starts to move a little faster as the trend develops and the dots soon catch up to the price action of the issue you are following. The Parabolic SAR provides excellent exit points. You should close long positions when the price falls below the SAR and close short positions when the price rises above the SAR. If long the SAR will move up every period, regardless of the direction the price is moving. The amount the SAR moves up depends on the amount that prices move.
Performance Index
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The Performance indicator calculates price performance as a normalized value or percentage. A Performance indicator shows the price of a security as a normalized value. If the Performance indicator shows 50, then the price of the underlying security has increased 50% since the start of the Performance indicator calculations. Conversely, if the indictor shows –50, then the price of the underlying security has decreased 50% since the start of the Performance indicator calculations. Performance index are helpful for comparing the price movements of different securities
Positive Volume Index
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The Positive Volume Index shows focus on periods when volume increases from the previous period. The interpretation of the Positive Volume Index is that many investors are buying when the index rises, and selling when the index falls. The Positive Volume Index is often used in conjunction with Negative Volume Index to identify bull and bear markets. Positive Volume Index (PVI) is calculated based on price movements on periods with increased volume. The high volume periods are consider to be driven by uninformed traders, and therefore PVI is intended to track the price movements which the 'uninformed' crowd is trading. The market is considered to be bearish if the Positive Volume Index crosses below its 255-period moving average. A single input parameter is required which is the number of periods used to compute the signal line . PVI assumes that on periods when volume increases, the crowd-following "uninformed" traders are in the market. on periods with decreased volume, the "smart money" is quietly taking positions. The Positive Volume Index is typically compared to a 255-period moving average of its value. When the index increases above this value, less informed traders (the crowd) have typically been buying , indicating the prices may continue to increase. When the index increases below this value, uninformed traders have typically been selling, indicating a possible decrease.
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