Trade: Short EUR/AUD
Open Price: 1.4265
Stop Loss: 1.4453
Close this trade at 1.4089
Result: +175
Thursday, August 26, 2010
26/08/2010 Long GBP/CHF [Close]
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..
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..
Monday, August 23, 2010
Friday, August 20, 2010
20/08/2010 Short NZD/USD [Close]
Trade: Short NZD/USD
Open Price: 0.7046
Stop Loss: 0.7110
Result: Break Even (Moved stop loss to Break Even on Friday)
Open Price: 0.7046
Stop Loss: 0.7110
Result: Break Even (Moved stop loss to Break Even on Friday)
Wednesday, August 18, 2010
18/08/2010 Long EUR/CHF [Close]
Trade: Long EUR/CHF
Open Price: 1.3431
Stop Loss: 1.3358
Result: -73
Comment: Should have watch out the CHF Trade Balance news?
Open Price: 1.3431
Stop Loss: 1.3358
Result: -73
Comment: Should have watch out the CHF Trade Balance news?
Tuesday, August 17, 2010
17/08/2010 Long AUD/USD [Update] [Close]
Trade: Long AUD/USD
Open Price: 0.9005
Stop Loss: 0.8849
Moved Stop Loss to Break Even.
Result: Break Even
Open Price: 0.9005
Stop Loss: 0.8849
Moved Stop Loss to Break Even.
Result: Break Even
Monday, August 16, 2010
16/08/2010 Long AUD/USD [Close]
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?
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?
Friday, August 13, 2010
Thursday, August 12, 2010
Wednesday, August 11, 2010
Wednesday, August 4, 2010
Monday, August 2, 2010
02/08/2010 Short USD/CAD [Close]
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
Trade: Short USD/CAD
Open Price: 1.0251
Stop Loss: 1.0293
Result: +9
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