This thread is made to help me stop placing trades using just because I'm tired type of egy.
I'm not prepared to represent my system simply because it's so raw. I'll do it as soon as I become more confident inside.
This thread is made to help me stop placing trades using just because I'm tired type of egy.
I'm not prepared to represent my system simply because it's so raw. I'll do it as soon as I become more confident inside.
1/3/08
Brief gbp/usd order died
s/l to get cad/jpy corrected
open positions:
1. Brief cad/jpy
unrealized profit 222 pips
s/l @ 112.50
t/p @ 107.89
no open orders
1/4/08
t/p hit @ 107.89
483 pips
open positions: none
open orders:
Brief aud/usd @ 0.8740
s/l @ 0.8783
t/p @ 0.8485
2008 483 pips
01/07/08
no changeOpen positions:
brief aud/usd @ 0.8740
unrealized profit 10 pips
s/l @ 0.8783
t/p @ 0.8485
Open orders:
brief aud/nzd @ 1.1378
s/l @ 1.1423
t/p @ 1.0960
01/08/08
Losses
Brief aud/usd -43 pips
Brief aud/nzd -46 pips
total - 89 pips
Open positions:
Not One
Open orders:
Extended aud/usd @ 0.8774
s/l @ 0.8729
t/p @ 0.9044
2008 394
open positions:
1. Brief cad/jpy @ 112.78
unrealized profit: 267 pips
t/p @ 107.89
s/l @ 112.70
Open orders:
1. Brief gbp/usd @1.9840
t/p @ 1.9560
s/l @ 1.9910
1/13/08
Open positions:
1. Brief aud/nzd @ 1.1416 (current profit 33 pips)
s/l @ 1.1481
t/p @ 1.1026
2. Long eur/usd @ 1.4777 (current profit 2 pips)
s/l @ 1.4724
t/p @ 1.5092
Open orders:
1. Brief usd/jpy @ 109.10
s/l @ 109.80
t/p @ 104.90