Hi all,
Thought I'd make a journal for myself. A visual giude for my own records.
A few details first:
All trades are on a live account with EFX.
Trades results do not include pip spreads, commission or buy/sell premium rollover rates (if any)
Amounts used are 50,000 for high risk trades (against the trend) and 100,000 for low risk/high probability trades.
Trades are a mixture of day and position trades.
Occasionally more lots will be added to trades when the situation warrants it and will be indicated as such.
Ok, on with the show!
1st trade:
1st October 2007, 1am EST
Short 50,000 EUR/USD @ 1.4261
S/L: 1.4284
Trade Closed on 2nd Oct 4:20am EST
Price: 1.4193
Profit/(Loss): 68 pips
2nd Trade:
1st October, 3:30am EST
Short 50,000 GBP/USD @ 2.0474
S/L: 2.0504
Trade Closed on 2nd Oct @ 4:20am EST
Price: 2.0389
Profit/(Loss): 85 Pips
Happy trading!
Thought I'd make a journal for myself. A visual giude for my own records.
A few details first:
All trades are on a live account with EFX.
Trades results do not include pip spreads, commission or buy/sell premium rollover rates (if any)
Amounts used are 50,000 for high risk trades (against the trend) and 100,000 for low risk/high probability trades.
Trades are a mixture of day and position trades.
Occasionally more lots will be added to trades when the situation warrants it and will be indicated as such.
Ok, on with the show!
1st trade:
1st October 2007, 1am EST
Short 50,000 EUR/USD @ 1.4261
S/L: 1.4284
Trade Closed on 2nd Oct 4:20am EST
Price: 1.4193
Profit/(Loss): 68 pips
2nd Trade:
1st October, 3:30am EST
Short 50,000 GBP/USD @ 2.0474
S/L: 2.0504
Trade Closed on 2nd Oct @ 4:20am EST
Price: 2.0389
Profit/(Loss): 85 Pips
Happy trading!