Wednesday, March 31, 2010

31/03/2010 Short EUR/USD Trade [Close]

Trade: Short EUR/USD
Open Price: 1.3385
Take Profit: 1.3275
Stop Loss: 1.3547


Result: -162

31/03/2010 Short EUR/JPY Trade [Cancel]

Trade: Short EUR/JPY
Open Price: 124.07
Take Profit: 121.33
Stop Loss: 125.58

Tuesday, March 23, 2010

23/03/2010 Long EUR/USD Trade [Cancel]

Trade: Long EUR/USD
Open Price: 1.3579
Take Profit: 1.3681
Stop Loss: 1.3424

23/03/2010 Long NZD/USD Trade [Cancel]

Trade: Long NZD/USD
Open Price: 1.3795
Take Profit: 0.7151
Stop Loss: 0.6991

Wednesday, March 17, 2010

17/03/2010 Long EUR/USD Trade [Close]

Trade: Short NZD/USD
Open Price: 1.3795
Take Profit: 1.3990
Stop Loss: 1.3629


Result: -166

Tuesday, March 16, 2010

16/03/2010 Short EUR/JPY Trade [Close]

Trade: Short EUR/JPY
Open Price: 123.22
Take Profit: 121.34
Stop Loss: 125.31


Result: +188

Thursday, March 11, 2010

11/03/2010 Long GBP/USD Trade [Close]

Just got in this one. Let's see how this one turn out.

Trade: Long GBP/USD
Open Price: 1.5027
Take Profit: 1.5187
Stop Loss: 1.4863


Result: +164

11/03/2010 Short NZD/USD Trade [Close]

Trade: Short NZD/USD
Open Price: 0.6998
Take Profit: 0.6855
Stop Loss: 0.7108


Result: -110

Tuesday, March 9, 2010

09/03/10 Short USD/JPY Trade [Close]

Trade: Short USD/JPY
Open Price: 90.03
Take Profit: 89.17
Stop Loss: 90.78


Result: -75

09/03/10 Short AUD/JPY Trade [Close]

Trade: Short AUD/JPY
Open Price: 81.81
Take Profit:79.90
Stop Loss: 82.91


Result: -110

Monday, March 8, 2010

08/03/10 USD/CHF Observation

Wanted to short on USD/CHF but there's the Retail Sales news for CHF coming out today which may be bad for the currency. So I'm holding my short on this pair for now. Going to see if it really is bad for the currency.

Wednesday, March 3, 2010

03/03/2010 Long EUR/AUD Trade [Close]

Trade: Long EUR/AUD
Open Price: 1.5113
Take Profit: 1.5317
Stop Loss: 1.4955



Result: -158