glossary.education

glossary.titleFragment1
glossary.titleFragment2

glossary.description

glossary.moreCategories

Trading Basics

glossary.termsCount

Bid Price

The highest price a buyer is willing to pay for an asset. In order books, this represents demand.

glossary.relatedTerms:

Ask Price
Spread
Order Book

Ask Price

The lowest price a seller is willing to accept for an asset. In order books, this represents supply.

glossary.relatedTerms:

Bid Price
Spread
Market Order

Spread

The difference between the bid and ask price. A tighter spread indicates higher liquidity.

glossary.relatedTerms:

Bid Price
Ask Price
Liquidity

Volume

The total amount of an asset traded over a specific period. High volume indicates strong market interest.

glossary.relatedTerms:

Liquidity
Market Depth

Liquidity

The ease with which an asset can be bought or sold without significantly affecting its price. Higher liquidity means tighter spreads and better execution.

glossary.relatedTerms:

Spread
Volume
Order Book

Market Order

An order to buy or sell immediately at the current best available price. Guarantees execution but not price.

glossary.relatedTerms:

Limit Order
Stop Order
Ask Price

Limit Order

An order to buy or sell at a specific price or better. Guarantees price but not execution.

glossary.relatedTerms:

Market Order
Stop Limit Order

Stop Loss

An order to automatically sell an asset when it reaches a specified price, limiting potential losses. Essential for risk management.

glossary.relatedTerms:

Take Profit
Trailing Stop
Risk Management

Take Profit

An order to automatically sell an asset when it reaches a specified profit target, securing gains.

glossary.relatedTerms:

Stop Loss
Limit Order

Position

The amount of an asset you currently own (long position) or have borrowed and sold (short position).

glossary.relatedTerms:

Long
Short
Portfolio

Long Position

Buying an asset with the expectation that its price will rise. Profit when price increases.

glossary.relatedTerms:

Short Position
Bull Market

Short Position

Selling an asset you don't own (borrowing it) with the expectation that its price will fall. Profit when price decreases.

glossary.relatedTerms:

Long Position
Bear Market
Margin

Bull Market

A market condition where prices are rising or expected to rise. Characterized by optimism and increasing demand.

glossary.relatedTerms:

Bear Market
Long Position
Trend

Bear Market

A market condition where prices are falling or expected to fall. Characterized by pessimism and selling pressure.

glossary.relatedTerms:

Bull Market
Short Position
Downtrend

Candlestick

A chart representation showing open, high, low, and close prices for a specific time period. Green/white indicates price increase; red/black indicates decrease.

glossary.relatedTerms:

OHLC
Chart Patterns

OHLC

Open, High, Low, Close. The four key price points for any trading period, used in candlestick and bar charts.

glossary.relatedTerms:

Candlestick
Volume

Technical Analysis

glossary.termsCount

RSI (Relative Strength Index)

A momentum indicator that measures the speed and magnitude of price changes. Values range from 0-100, with above 70 indicating overbought and below 30 indicating oversold conditions.

glossary.relatedTerms:

MACD
Momentum
Overbought/Oversold

MACD (Moving Average Convergence Divergence)

A trend-following momentum indicator showing the relationship between two moving averages. Consists of MACD line, signal line, and histogram.

glossary.relatedTerms:

RSI
Moving Average
Momentum

Bollinger Bands

Volatility bands placed above and below a moving average. Price touching upper band suggests overbought; touching lower band suggests oversold.

glossary.relatedTerms:

Volatility
Moving Average
Standard Deviation

Moving Average (MA)

The average price of an asset over a specified number of periods, smoothing out price fluctuations to identify trends.

glossary.relatedTerms:

EMA
SMA
Trend

EMA (Exponential Moving Average)

A moving average that gives more weight to recent prices, making it more responsive to new information than simple moving averages.

glossary.relatedTerms:

SMA
Moving Average
MACD

SMA (Simple Moving Average)

A moving average calculated by averaging prices over a specific period with equal weight for all values.

glossary.relatedTerms:

EMA
Moving Average

Support Level

A price level where an asset tends to find buying interest, preventing the price from falling further.

glossary.relatedTerms:

Resistance Level
Trend Line
Breakout

Resistance Level

A price level where an asset tends to find selling pressure, preventing the price from rising further.

glossary.relatedTerms:

Support Level
Trend Line
Breakdown

Breakout

When price moves above a resistance level or below a support level, often signaling the start of a new trend.

glossary.relatedTerms:

Breakdown
Support Level
Resistance Level

Fibonacci Retracement

Horizontal lines indicating potential support and resistance levels based on Fibonacci ratios (23.6%, 38.2%, 50%, 61.8%, 78.6%).

glossary.relatedTerms:

Support Level
Resistance Level

Momentum

The rate of acceleration of price changes. High momentum indicates strong trend; low momentum suggests consolidation.

glossary.relatedTerms:

RSI
MACD
Trend

Overbought

A condition where an asset has been bought excessively and may be due for a price correction or reversal. Often indicated by RSI above 70.

glossary.relatedTerms:

Oversold
RSI
Reversal

Oversold

A condition where an asset has been sold excessively and may be due for a price bounce. Often indicated by RSI below 30.

glossary.relatedTerms:

Overbought
RSI
Reversal

Trend

The general direction of market price movement: uptrend (higher highs and higher lows), downtrend (lower highs and lower lows), or sideways (consolidation).

glossary.relatedTerms:

Uptrend
Downtrend
Moving Average

Trend Line

A straight line connecting price points to identify the direction and strength of a trend.

glossary.relatedTerms:

Support Level
Resistance Level
Trend

Volume Profile

A charting study that displays trading activity over specified price levels, showing where the most volume was traded.

glossary.relatedTerms:

Volume
Support Level
Resistance Level

Risk Management

glossary.termsCount

Leverage

Borrowed capital used to increase trading position size. For example, 10x leverage means controlling $10,000 with $1,000. Amplifies both profits AND losses.

glossary.relatedTerms:

Margin
Liquidation
Margin Call

Margin

The amount of capital required to open and maintain a leveraged position. Acts as collateral for borrowed funds.

glossary.relatedTerms:

Leverage
Margin Call
Liquidation

Liquidation

Forced closure of a leveraged position when margin falls below required maintenance level. Results in loss of collateral.

glossary.relatedTerms:

Leverage
Margin
Margin Call

Liquidation Price

The price level at which a leveraged position will be automatically liquidated to prevent further losses.

glossary.relatedTerms:

Liquidation
Leverage
Stop Loss

Margin Call

A demand from a broker to deposit additional funds or securities to meet minimum margin requirements.

glossary.relatedTerms:

Margin
Leverage
Liquidation

Risk-Reward Ratio

The ratio of potential profit to potential loss in a trade. A 3:1 ratio means risking $1 to potentially gain $3.

glossary.relatedTerms:

Stop Loss
Take Profit
Position Sizing

Position Sizing

Determining how much capital to allocate to a single trade based on risk tolerance and account size.

glossary.relatedTerms:

Risk Management
Portfolio Diversification

Portfolio Diversification

Spreading investments across different assets to reduce overall risk. Don't put all eggs in one basket.

glossary.relatedTerms:

Position Sizing
Risk Management

Drawdown

The peak-to-trough decline in portfolio value. Maximum drawdown is the largest drop from a high to subsequent low.

glossary.relatedTerms:

Risk Management
Volatility

Trailing Stop

A dynamic stop loss that moves with price to lock in profits. If price moves favorably, the stop follows; if price reverses, the stop stays.

glossary.relatedTerms:

Stop Loss
Take Profit

Order Types

glossary.termsCount

Stop Order

An order that becomes a market order once a specified price (stop price) is reached. Used for entering or exiting positions.

glossary.relatedTerms:

Stop Limit Order
Market Order

Stop Limit Order

An order that becomes a limit order once the stop price is reached. Combines stop order and limit order features.

glossary.relatedTerms:

Stop Order
Limit Order

Fill or Kill (FOK)

An order that must be executed immediately in its entirety or canceled completely. No partial fills allowed.

glossary.relatedTerms:

Immediate or Cancel
Limit Order

Immediate or Cancel (IOC)

An order that must be executed immediately. Any portion that cannot be filled is canceled.

glossary.relatedTerms:

Fill or Kill
Market Order

Good 'Til Canceled (GTC)

An order that remains active until it's either executed or manually canceled by the trader.

glossary.relatedTerms:

Limit Order
Stop Order

Derivatives & Futures

glossary.termsCount

Futures Contract

An agreement to buy or sell an asset at a predetermined price at a specified future date. Standardized and traded on exchanges.

glossary.relatedTerms:

Perpetual Futures
Settlement
Funding Rate

Perpetual Futures

Futures contracts without expiration date. Price is kept close to spot through funding rate mechanism.

glossary.relatedTerms:

Futures Contract
Funding Rate
Mark Price

Funding Rate

Periodic payment between long and short traders in perpetual futures to keep contract price aligned with spot price.

glossary.relatedTerms:

Perpetual Futures
Long Position
Short Position

Mark Price

The fair value price of a futures contract, used to prevent unfair liquidations during price manipulation. Calculated from spot index and funding rate.

glossary.relatedTerms:

Perpetual Futures
Liquidation Price

Open Interest

The total number of outstanding futures contracts that have not been settled. Indicates market participation and liquidity.

glossary.relatedTerms:

Futures Contract
Volume

Settlement

The process of fulfilling the terms of a futures contract at expiration, either through cash payment or physical delivery.

glossary.relatedTerms:

Futures Contract
Expiration

ML & AI Trading

glossary.termsCount

Feature Engineering

The process of creating relevant input variables (features) for machine learning models from raw data. Critical for model performance.

glossary.relatedTerms:

Machine Learning
Model Training
Technical Indicators

Backtesting

Testing a trading strategy using historical data to evaluate its potential performance before risking real capital.

glossary.relatedTerms:

Walk-Forward Analysis
Paper Trading
Strategy Validation

Walk-Forward Analysis

A backtesting method that repeatedly trains models on past data and tests on subsequent unseen data, simulating real-world conditions.

glossary.relatedTerms:

Backtesting
Cross-Validation
Model Training

Model Confidence

A measure of how certain an ML model is about its prediction. Higher confidence typically indicates more reliable signals.

glossary.relatedTerms:

Prediction Signal
Machine Learning
Confidence Score

Prediction Signal

An output from an ML model indicating expected price movement: BUY, SELL, or HOLD, often with confidence score.

glossary.relatedTerms:

Model Confidence
Trading Signal
ML Prediction

Overfitting

When an ML model learns noise and patterns specific to training data, performing poorly on new data. A major pitfall in algo trading.

glossary.relatedTerms:

Cross-Validation
Walk-Forward Analysis
Model Training

Cross-Validation

A technique to assess model performance by training on different data subsets and testing on held-out portions.

glossary.relatedTerms:

Walk-Forward Analysis
Overfitting
Model Training

Ensemble Model

A machine learning approach that combines multiple models to achieve better prediction accuracy than any single model.

glossary.relatedTerms:

Machine Learning
Model Confidence
Random Forest

Feature Selection

The process of identifying the most relevant features for ML models, reducing noise and improving performance. Uses techniques like SHAP values.

glossary.relatedTerms:

Feature Engineering
SHAP Values
Correlation Pruning

SHAP Values

A method to explain ML model predictions by assigning importance scores to each feature. Helps identify which factors drive predictions.

glossary.relatedTerms:

Feature Selection
Feature Importance
Model Explainability

Macro-Financial

glossary.termsCount

DXY (Dollar Index)

A measure of the U.S. dollar's value against a basket of foreign currencies (EUR, JPY, GBP, CAD, SEK, CHF). Rising DXY often correlates with falling crypto prices.

glossary.relatedTerms:

Correlation
Macro Analysis

VIX (Volatility Index)

The 'fear index' measuring expected stock market volatility. High VIX indicates market stress and often correlates with crypto volatility.

glossary.relatedTerms:

Volatility
S&P 500
Risk-Off

Treasury Yields

The return on U.S. government bonds. Rising yields often pressure risk assets like crypto as safer alternatives become more attractive.

glossary.relatedTerms:

Interest Rates
Risk-Off
Bond Market

Correlation

Statistical measure of how two assets move together. Values range from -1 (perfect inverse) to +1 (perfect positive). Crypto often correlates with NASDAQ.

glossary.relatedTerms:

Time-Varying Correlation
Macro Analysis
NASDAQ

Time-Varying Correlation

Correlation between assets that changes over time. TradingMaster AI tracks rolling correlations between crypto and macro assets.

glossary.relatedTerms:

Correlation
Rolling Window
Regime Detection

Volatility Spillover

When volatility in one market (e.g., stocks) transmits to another market (e.g., crypto). Measured using GARCH models.

glossary.relatedTerms:

Volatility
GARCH
Correlation

Regime Detection

Identifying distinct market states (bull, bear, high-vol, low-vol) using statistical methods like Hidden Markov Models.

glossary.relatedTerms:

Bull Market
Bear Market
HMM

GARCH Model

Generalized Autoregressive Conditional Heteroskedasticity. A statistical model for predicting volatility that clusters (high volatility periods follow high volatility).

glossary.relatedTerms:

Volatility Spillover
Volatility Clustering

Granger Causality

A statistical test to determine if one time series can predict another. Example: Does NASDAQ predict BTC movements?

glossary.relatedTerms:

Correlation
Leading Indicator
Macro Analysis

Cointegration

Long-run equilibrium relationship between assets. Pairs trading exploits temporary deviations from this equilibrium.

glossary.relatedTerms:

Pairs Trading
Mean Reversion
Error Correction Model

NASDAQ Composite

U.S. stock market index weighted toward technology companies. Highly correlated with Bitcoin and crypto markets.

glossary.relatedTerms:

S&P 500
Correlation
Tech Stocks

S&P 500

U.S. stock market index of 500 large companies. A key indicator of overall market health and risk appetite.

glossary.relatedTerms:

NASDAQ
VIX
Risk-On/Risk-Off

Blockchain & Crypto

glossary.termsCount

Altcoin

Any cryptocurrency other than Bitcoin. Includes Ethereum, Solana, and thousands of other tokens.

glossary.relatedTerms:

Bitcoin
Cryptocurrency

Market Cap

Total value of a cryptocurrency calculated by multiplying circulating supply by current price. Indicates relative size and dominance.

glossary.relatedTerms:

Circulating Supply
Dominance

Stablecoin

Cryptocurrency designed to maintain stable value by pegging to assets like USD (USDT, USDC). Used as trading base currency.

glossary.relatedTerms:

USDT
USDC
Cryptocurrency

Trading Pair

Two assets that can be traded against each other, e.g., BTC/USDT means trading Bitcoin for Tether.

glossary.relatedTerms:

Base Currency
Quote Currency
Symbol

Gas Fees

Transaction fees paid to blockchain validators for processing transactions. Higher on congested networks.

glossary.relatedTerms:

Blockchain
Network Congestion

On-Chain Data

Data recorded directly on the blockchain: transactions, wallet balances, network activity. Used for fundamental crypto analysis.

glossary.relatedTerms:

Blockchain
Wallet
Network Activity

Market Structure

glossary.termsCount

Order Book

A real-time list of buy (bid) and sell (ask) orders arranged by price level. Shows market depth and supply/demand.

glossary.relatedTerms:

Bid Price
Ask Price
Market Depth

Market Depth

The measure of liquidity in the order book. Deeper markets can absorb large orders without significant price impact.

glossary.relatedTerms:

Order Book
Liquidity
Slippage

Slippage

The difference between expected trade price and actual execution price. Higher in illiquid markets or with large orders.

glossary.relatedTerms:

Market Depth
Liquidity
Market Order

Maker

A trader who adds liquidity to the order book by placing limit orders. Typically pays lower fees than takers.

glossary.relatedTerms:

Taker
Limit Order
Liquidity

Taker

A trader who removes liquidity from the order book by executing market orders against existing limit orders. Typically pays higher fees than makers.

glossary.relatedTerms:

Maker
Market Order
Liquidity

Spot Trading

Trading actual assets with immediate delivery. You own the asset outright without leverage or borrowing.

glossary.relatedTerms:

Margin Trading
Futures Trading

Margin Trading

Trading with borrowed funds to increase position size. Allows both long and short positions with leverage.

glossary.relatedTerms:

Leverage
Liquidation
Spot Trading

Trading Strategies

glossary.termsCount

Day Trading

Opening and closing positions within the same trading day to profit from intraday price movements.

glossary.relatedTerms:

Swing Trading
Scalping

Swing Trading

Holding positions for several days to weeks to profit from medium-term price swings.

glossary.relatedTerms:

Day Trading
Position Trading

Scalping

Very short-term trading strategy making numerous small profits from tiny price movements, often holding positions for seconds to minutes.

glossary.relatedTerms:

Day Trading
High-Frequency Trading

Position Trading

Long-term trading strategy holding positions for months to years based on fundamental analysis.

glossary.relatedTerms:

Swing Trading
Fundamental Analysis

Arbitrage

Simultaneously buying and selling the same asset in different markets to profit from price discrepancies.

glossary.relatedTerms:

Market Efficiency
Spread

Pairs Trading

Trading two correlated assets: going long one and short the other when their price relationship deviates from equilibrium.

glossary.relatedTerms:

Cointegration
Mean Reversion
Statistical Arbitrage

Mean Reversion

A strategy assuming prices will return to their historical average. Buy when undervalued, sell when overvalued.

glossary.relatedTerms:

Pairs Trading
Bollinger Bands
RSI

Trend Following

A strategy that attempts to capture gains by riding established trends. 'The trend is your friend.'

glossary.relatedTerms:

Momentum
Moving Average
Breakout

Grid Trading

Placing multiple buy and sell orders at regular price intervals, profiting from price oscillations within a range.

glossary.relatedTerms:

Range Trading
Market Making

DCA (Dollar Cost Averaging)

Investing a fixed amount at regular intervals regardless of price, reducing the impact of volatility.

glossary.relatedTerms:

Position Sizing
Risk Management

Performance Metrics

glossary.termsCount

ROI (Return on Investment)

Percentage gain or loss on investment. Calculated as (Current Value - Initial Investment) / Initial Investment × 100%.

glossary.relatedTerms:

PnL
Profit Percentage

PnL (Profit and Loss)

The actual gain or loss from a trade or portfolio. Can be realized (closed positions) or unrealized (open positions).

glossary.relatedTerms:

ROI
Realized PnL
Unrealized PnL

Realized PnL

Profit or loss from closed positions. Actual gains/losses that are locked in.

glossary.relatedTerms:

PnL
Unrealized PnL

Unrealized PnL

Profit or loss from open positions based on current market price. Also called 'paper profit/loss.'

glossary.relatedTerms:

PnL
Realized PnL
Mark-to-Market

Sharpe Ratio

Risk-adjusted return metric. Measures excess return per unit of risk. Higher is better. Above 1.0 is good; above 2.0 is excellent.

glossary.relatedTerms:

Risk-Adjusted Return
Volatility
Performance

Win Rate

Percentage of profitable trades out of total trades. A 60% win rate means 60% of trades were profitable.

glossary.relatedTerms:

Profit Factor
Performance Metrics

Profit Factor

Ratio of gross profit to gross loss. Above 1.0 means profitable system. A value of 2.0 means profits are twice the losses.

glossary.relatedTerms:

Win Rate
ROI
Performance Metrics

Advanced Concepts

glossary.termsCount

Impulse Response Function (IRF)

Measures how one asset responds over time to a shock in another asset. Used in causality analysis to quantify macro impact on crypto.

glossary.relatedTerms:

Granger Causality
VAR Model
Macro Analysis

VAR Model (Vector Autoregression)

A statistical model capturing relationships between multiple time series. Used to model crypto-macro interactions.

glossary.relatedTerms:

Granger Causality
IRF
Time Series Analysis

Error Correction Model (ECM)

A model that captures short-term dynamics and long-term equilibrium relationships between cointegrated assets.

glossary.relatedTerms:

Cointegration
Pairs Trading
Mean Reversion

Network Centrality

Measure of an asset's importance in a correlation network. High centrality assets influence many others.

glossary.relatedTerms:

Correlation Network
Systemic Risk

Hidden Markov Model (HMM)

A statistical model for regime detection, identifying hidden market states (bull, bear, high-vol) from observable price data.

glossary.relatedTerms:

Regime Detection
Market States

Trading Tools

glossary.termsCount

Paper Trading

Simulated trading with virtual money to test strategies without financial risk. Essential for strategy validation.

glossary.relatedTerms:

Backtesting
Live Trading
Risk-Free Testing

Live Trading

Trading with real money on actual exchanges. Requires API keys and carries financial risk.

glossary.relatedTerms:

Paper Trading
API Keys
Exchange Integration

API Keys

Authentication credentials for programmatic access to exchange trading and data. Must be kept secure and encrypted.

glossary.relatedTerms:

Exchange Integration
Security
Trading Bot

Trading Bot

Automated software that executes trades based on predefined rules or ML predictions. Operates 24/7 without emotions.

glossary.relatedTerms:

Algorithmic Trading
Automation
Trading Signal

Webhook

HTTP callback that sends real-time data to your application. Used for TradingView signals and exchange notifications.

glossary.relatedTerms:

API
TradingView
Real-Time Data

TradingView

Popular charting and analysis platform. TradingMaster AI integrates TradingView charts and can receive webhook signals.

glossary.relatedTerms:

Webhook
Charting
Technical Analysis

Market Sentiment

glossary.termsCount

Risk-On/Risk-Off

Market sentiment indicator. Risk-on: investors favor risky assets (crypto, stocks). Risk-off: investors prefer safe havens (bonds, gold).

glossary.relatedTerms:

VIX
Treasury Yields
Market Sentiment

Trading Psychology

glossary.termsCount

FOMO (Fear of Missing Out)

Emotional trading driven by fear of missing profits. Often leads to buying near tops. Dangerous trading psychology.

glossary.relatedTerms:

FUD
Trading Psychology
Emotional Trading

FUD (Fear, Uncertainty, Doubt)

Negative sentiment or misinformation spread to drive prices down. Can create buying opportunities for contrarian traders.

glossary.relatedTerms:

FOMO
Market Sentiment

Crypto Culture

glossary.termsCount

Hodl

Crypto slang for holding an asset long-term regardless of price fluctuations. Originated from a misspelled 'hold.'

glossary.relatedTerms:

Long Position
Position Trading

Ready to Put Your Knowledge to Work?

Start trading with AI-powered confidence today glossary.exploreFeatures

Start Paper Trading Free