The 100 Most Important Trading Terms
Alphabetically sorted list with the 100 most important trading terms (related to MetaTrader MT4/MT5, CFDs, Expert Advisors, indicators, charts, templates, order types, stops, trailing, breakeven, pips/points, spread, slippage, swap, etc.) and short explanations:
- Arbitrage
Exploiting price differences of the same asset in different markets or contracts for risk-free profit. - Ask Price
The price at which the market (broker) is willing to sell – traders buy at the ask. - Order Size
The volume of an order, often in lots in Forex, or contract units in CFDs. - Order Book
Overview of all open limit and stop orders in a market segment. - Execution Type
The type of order execution, e.g. “Instant Execution” or “Market Execution”. - Average True Range (ATR)
A volatility indicator that measures the average trading range over a period. - Backtesting
Testing a trading strategy using historical price data in the Strategy Tester. - Base Currency
The first currency listed in a currency pair (e.g. EUR in EUR/USD). - Bear Market
Market environment with predominantly falling prices and pessimistic sentiment. - Beta
Measure of an asset’s volatility compared to the overall market. - Bid Price
The price at which the market (broker) is willing to buy – traders sell at the bid. - Bollinger Bands
Volatility channel around a moving average (typically ±2 standard deviations). - Breakeven Point
The price level at which a trade shows neither profit nor loss. - Breakout
A price move breaking out of a chart formation (e.g. range, triangle). - Broker
Intermediary between trader and interbank market; provides trading platform and accounts. - Broker Server
The broker’s technical infrastructure that receives and executes orders. - Carry Trade
Exploiting interest rate differences between two currencies by going long on the higher-yielding currency. - CFD (Contract for Difference)
Derivative that reflects the price difference of an asset without physical ownership. - Chart
Graphical representation of price movements, e.g. line, bar, or candlestick charts. - Chart Analysis
Technical analysis of price movements with patterns, lines, and indicators. - Chart Pattern
Formations like head-and-shoulders, triangle, or flag that signal targets or reversals. - Closing Price
The last price of a period (candle/bar). - Confirmation
A second indicator or price action confirms a signal. - Correlation
Statistical measure (-1 to +1) of how two assets move in relation to each other. - Cross Pair
A currency pair without the USD as a reference (e.g. EUR/GBP). - Custom Indicator
A user-programmed indicator in MQL4/MQL5. - Daily Candle
A candlestick that shows the price movement of one trading day. - Delta
An option measure (0–1) indicating how the option price changes relative to the underlying asset. - Derivative
A financial instrument whose value is derived from an underlying asset (e.g. CFD, option, future). - Depth of Market (DOM)
Display of liquidity available at different price levels. - Divergence
Discrepancy between indicator and price action, often a reversal signal. - Drawdown
Decline from the last equity peak to the following trough, in % or absolute terms. - ECN (Electronic Communication Network)
A network that matches orders directly between participants, without a dealing desk. - Equity
Account balance plus/minus unrealized profit/loss of open positions. - Equity Stop
An automatic stop-loss based on a maximum equity loss. - Execution Delay
Time between order placement and actual execution. - Expert Advisor (EA)
An automated trading robot in MQL4/MQL5 that executes strategies independently. - Expiration
Date on which a derivative (option, future) expires. - Fibonacci Retracement
Horizontal lines at 23.6%, 38.2%, 61.8% to identify pullback levels. - Forex (Foreign Exchange)
The global currency market where currencies are traded. - Free Margin
Available funds in the account not tied up as margin. - Fundamental Analysis
Assessment of assets based on economic, financial, and political data. - Gap
Price gap when the opening price is above/below the prior closing price. - Moving Average (MA)
Indicator that smooths prices over a specific period. - Grid Trading
Strategy placing buy/sell orders at fixed intervals. - Hedging
Risk mitigation by holding offsetting positions. - High
Highest price of a period (candle/bar). - High-Frequency Trading (HFT)
Algorithmic trading with very high transaction speed and short holding times. - Ichimoku Kinko Hyo
Multi-component indicator with Tenkan, Kijun, Senkou Span lines and cloud. - Initial Margin
Required collateral to open a position. - Correlation (again)
Describes how closely two markets/instruments move together (positive/negative). - Account Size
Total capital available in a trading account. - Price
Current trading price of an asset. - Leverage
Ratio between trading volume and own capital. - Limit Order
Order executed only at the specified or better price. - Liquidity
Measure of how easily an asset can be traded without large slippage. - Lot
Standard trade size; 1 lot = 100,000 units of the base currency in Forex. - Long Position
Buying an asset in anticipation of rising prices. - MACD (Moving Average Convergence Divergence)
Trend-following oscillator based on moving averages and signal line. - Margin
Collateral required to open a leveraged position. - Margin Call
Warning that free equity has dropped below a threshold; positions may be closed. - Market Maker
Broker model where the broker itself acts as counterparty to trades. - Market Order
Immediate execution at the best available price. - Momentum
Indicator measuring the speed of price movement. - NAV (Net Asset Value)
Net asset value of a fund or portfolio per share. - News Trading
Strategy based on market reactions to economic news. - Open Price
First traded price of a new period. - Overbought
Condition indicating excessive buying pressure (e.g. RSI > 70). - Oversold
Condition indicating excessive selling pressure (e.g. RSI < 30). - Pending Order
Order that is activated when a specific price level is reached (limit/stop). - Pip
Smallest price change in Forex (usually 0.0001) or a CFD tick. - Position Sizing
Determining trade volume based on risk and money management rules. - Profit Factor
Ratio of gross profits to gross losses of a strategy. - Quote Currency
The second currency in a pair (e.g. USD in EUR/USD). - Range
Sideways movement between support and resistance levels. - Realized Profit/Loss
Actual profit/loss from closed positions. - Resistance
Price level where selling pressure is expected, often halting rallies. - Risk Management
Rules and techniques to limit losses and protect capital. - Rollover
Carrying a position overnight with interest adjustment (swap). - Scalping
Short-term strategy with very quick entries and exits capturing small moves. - Session
Trading hours of major markets (e.g. London, New York, Tokyo). - Sharpe Ratio
Return/risk measure (excess return divided by volatility). - Short Position
Selling an asset in anticipation of falling prices. - Slippage
Difference between expected and actual execution price, especially in high volatility. - Spread
Difference between ask and bid price; main cost factor in Forex/CFDs. - Stop-Loss
Automatic order that closes a position when a set loss level is reached. - Stop Order
Pending order triggered when a price level is exceeded (stop-buy/stop-sell). - Strategy Tester
MT tool for backtesting and optimizing Expert Advisors. - Swap
Interest adjustment applied when holding a position overnight. - Take Profit
Automatic order that closes a position when a set profit target is reached. - Technical Analysis
Chart and indicator study to forecast future price movements. - Template
Saved chart configuration (colors, indicators, timeframes) reusable on other charts. - Tick
Smallest possible price change; in Forex = pip, in stocks = cent. - Time and Sales
Log of all executed trades with time and price. - Timeframe
Time interval of a candlestick or bar (e.g. M1, H1, D1). - Trailing Stop
Dynamic stop-loss that follows price by a set distance to lock in profits. - Trend
Direction of price movement over a defined period (up, down, sideways). - Trendline
Straight line connecting highs or lows, visually showing a trend. - Turnover
Total traded volume of contracts or currencies within a period. - Volatility
Measure of price fluctuation intensity; basis of many risk and options models.