Trade: Short EUR/USD
Open Price: 1.3385
Take Profit: 1.3275
Stop Loss: 1.3547
Result: -162
Wednesday, March 31, 2010
Tuesday, March 23, 2010
Wednesday, March 17, 2010
Tuesday, March 16, 2010
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
Trade: Long GBP/USD
Open Price: 1.5027
Take Profit: 1.5187
Stop Loss: 1.4863
Result: +164
Tuesday, March 9, 2010
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.
Labels:
USD/CHF
Wednesday, March 3, 2010
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