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- woolala replied Jan 7, 2015
short G/U took 100pip profit yesterday, and re-open another short position. The three positions' P/L stay most of the time like following long E/U loss short E/G loss short G/U gain and the net 3 positions' P/L was a gain (including the closed ...
- woolala replied Jan 5, 2015
FerruFx, good advice! I edited the 1st post.
- woolala replied Jan 4, 2015
Revised the positions to +E/U, -E/G, -G/U, and take profit to 100pips (for the time being, I need to think about what is more sensible for t/p method).
- woolala replied Jan 4, 2015
It seems the expectancy could be positive by using hourly ATR for each pair. U>E>G means delta U>delta E>delta G,others follow the same expression.
- woolala replied Jan 4, 2015
I should change the circle to long E/U, short E/G and short G/U based on current these three pairs trends.
- woolala replied Jan 3, 2015
FerruFx Good question, and I would love to learn your perspectives on this. I know there are many open ends in the plan.
- woolala replied Jan 5, 2011
Thank you Intesity for your kind words Randy
- woolala replied Jan 5, 2011
Closed all trades - Let me call it a day? CAD/JPY 83.301 2 EUR/USD 1.31532 26 USD/CAD 0.99653 -7 GBP/JPY 128.885 2 USD/JPY 83.159 19 CAD/JPY 83.431 18 USD/CHF 0.96168 9 AUD/JPY 83.006 13 GBP/USD 1.54998 19 EUR/CHF 1.26502 -22 GBP/CHF 1.49085 -24 ...
- woolala replied Jan 5, 2011
open new trades Sell Market EUR/USD 1.31789 Buy Market USD/CAD 0.99724 Buy Market GBP/JPY 128.869 Buy Market USD/JPY 82.998 Buy Market CAD/JPY 83.282 Buy Market CAD/JPY 83.284 Buy Market USD/CHF 0.96082 Buy Market AUD/JPY 82.899 Sell Market GBP/USD ...
- woolala replied Jan 5, 2011
Jan 25th - open and closed all trades — open two more positions and close all together January 5 05:37:25 2011 Buy Market GBP/CHF 1.48503 January 5 07:19:15 2011 Sell Market CHF/JPY 86.136 January 5 07:22:44 2011 Close Trade GBP/JPY 128.019 ...
- woolala replied Jan 5, 2011
Jan 5th Update — Open trades January 5 00:55:51 2011 Sell Market GBP/JPY 127.625 January 5 00:56:08 2011 Sell Market AUD/JPY 82.181 January 5 02:07:34 2011 Sell Market GBP/USD 1.55382 January 5 02:08:07 2011 Sell Market AUD/USD 1.0003 January ...
- woolala replied Jan 4, 2011
last trade of Jan 4th — closed a few more trades before I call it a day. AUD/USD -13 EUR/JPY 11 EUR/USD 16 CAD/JPY 4 USD/CAD 5 GBP/JPY 4 28 YTD P/L: 0.54%
- woolala replied Jan 4, 2011
Closed the above trades as following Action Pair Price P/L in pip Close Trade USD/CAD 0.99749 15 Close Trade EUR/CHF 1.26374 8 Close Trade EUR/CHF 1.26374 11 Close Trade GBP/CHF 1.47546 -8 Close Trade USD/JPY 82.16 -10 Close Trade GBP/USD 1.55946 -3 ...
- woolala replied Jan 4, 2011
Open the following trades L USD/CAD 0.996 S EUR/CHF 1.26453 S EUR/CHF 1.26477 S GBP/CHF 1.47474 L USD/JPY 82.245 S GBP/USD 1.55921 S EUR/USD 1.33677
- woolala replied Jan 4, 2011
Jan 24th - Another trade — open and close a few more trades (all in less than 15min) EUR/CHF 15 EUR/CHF 15 AUD/USD -8 EUR/JPY 9 31
- woolala replied Jan 4, 2011
Jan 4th Update, 2011 — Added and few more longs and then closed all just now. The trades are as followings Pair +/- Pip EUR/GBP -101 EUR/JPY 112 EUR/USD 22 CHF/JPY -32 AUD/USD -37 USD/CAD -11 AUD/USD 8 GBP/CHF 71 GBP/JPY 64 EUR/CHF 30 USD/JPY ...
- woolala replied Jan 3, 2011
Jan 3th 2011 Update — Opened and closed a basket of trades today: Short: EUR/GBP 7 EUR/USD -1 AUD/USD 8 GBP/USD 27 GBP/CHF 46 USD/CHF -24 USD/JPY -6 EUR/JPY -2 CAD/JPY -4 GBP/JPY 19 EUR/CHF -4 Net: 65 Long: EUR/GBP USD/CHF Net P/L: +0.2% YTD ...
- woolala replied Dec 31, 2010
Dec 31st, 2010 Update — Just closed all positions and let me call it a year. Account value on Jan 1st, 2010: $54,625 Account value on Dec 31st, 2010: $64,070 P/L %: 17.3% A few reminders (not new learning, but reminders) from this year 1. Be ...
- woolala replied Dec 29, 2010
long NZD/USD at 0.76339 Now the GBP almost becomes zero in the new basket. Net effect is long JPY, EUR and NZD, while shorting USD and CHF
- woolala replied Dec 29, 2010
add two more long position EUR/CHF at 1.24978 GBP/JPY at 126.460