Thursday, July 29, 2010

29/07/2010 Long USD/CAD [Cancel]

Trade: Long USD/CAD
Open Price:  1.0400
Stop Loss: 1.0287













Wednesday, July 28, 2010

28/07/2010 Short EUR/GBP [Cancel]

Trade: Short EUR/GBP
Open Price:  0.8306
Stop Loss: 0.8410













Tuesday, July 27, 2010

19/07/2010 Short NZD/USD [Close]

Trade: Short NZD/USD
Open Price:  0.7047
Stop Loss: 0.7360






























Result: -313

Monday, July 26, 2010

26/07/2010 Long AUD/USD [Update] [Close]

Trade: Long AUD/USD
Open Price:  0.8981
Stop Loss: 0.8855
















Moved SL to 0.8980.





























Result: Break Even

Saturday, July 24, 2010

19/07/2010 Short CHF/JPY [Cancel]

Trade: Short CHF/JPY
Open Price:  81.92
Stop Loss: 84.60













19/07/2010 Short AUD/USD [Close]

Trade: Short AUD/USD
Open Price:  0.8670
Stop Loss: 0.8882






























Result : -212
Comment: Looks like I'm having a bad week..

Wednesday, July 21, 2010

19/07/2010 Long EUR/GBP [Close]

Trade: Long EUR/GBP
Open Price:  0.8472
Stop Loss: 0.8390






























Result: -82
Comment: Failed analysis skill i guess?..

Wednesday, July 14, 2010

14/07/2010 Long USD/JPY [Close]

Trade: Long USD/JPY
Open Price:  88.97
Take Profit: 91.00
Stop Loss: 87.90






























Result: -107

Monday, July 5, 2010

05/07/2010 Short AUD/USD [Close]

This may be a risky trade since there is a pin bar before todays candle.

Trade: Short AUD/USD
Open Price:  0.8392
Take Profit: 0.8216 (Not set)
Stop Loss: 0.8560






























Result: -168