Trade: Short EUR/AUD
Open Price: 1.4265
Stop Loss: 1.4453
Close this trade at 1.4089
Result: +175
Trade: Long GBP/CHF
Open Price: 1.5946
Stop Loss: 1.5821
Result: -125
Comment: Looks like a bad week to trade with all the big news coming out..
Trade: Short EUR/GBP
Open Price: 0.8168
Stop Loss: 0.8247
Result: -79
Trade: Short EUR/GBP
Open Price: 0.8161
Stop Loss: 0.8210
Result: -49
Trade: Short NZD/USD
Open Price: 0.7046
Stop Loss: 0.7110
Result: Break Even (Moved stop loss to Break Even on Friday)
Trade: Short AUD/CAD
Open Price: 0.9255
Stop Loss: 0.9319
Result: -64
Trade: Long EUR/CHF
Open Price: 1.3431
Stop Loss: 1.3358
Result: -73
Comment: Should have watch out the CHF Trade Balance news?
Trade: Long AUD/USD
Open Price: 0.8926
Stop Loss: 0.8890
Result: -36
Comment: Seems like it still wants to go down.. or stop loss is just too tight?
Trade: Long USD/CHF
Open Price: 1.0517
Stop Loss: 1.0474
Result: -43
Trade: Short USD/CHF
Open Price: 1.0566
Stop Loss: 1.0637
Result: +46
Trade: Short EUR/JPY
Open Price: 111.61
Stop Loss: 112.27
Result: +115
Trade: Short USD/CHF
Open Price: 1.0451
Stop Loss: 1.0628
Trade: Long EUR/CAD
Open Price: 1.3581
Stop Loss: 1.3490
Trade: Long NZD/USD
Open Price: 0.7279
Stop Loss: 0.7181
Result: +54
Trade may not work out since its CAD Holiday today. But i like the look of that candle.
Trade: Short USD/CAD
Open Price: 1.0251
Stop Loss: 1.0293
Result: +9