Now i am going post my journal:
I am starting here ...
Open...
01) USD / CHF : SELL 1.15562 TP: 1.15340 SL: 1.17830
02) EUR / JPY: SELL 122.300 TP: 121.8 SL: 126.8
03) EUR / JPY: SELL 122.053 TP: 121.65 SL: 125.65
04) USD / JPY: SELL 95.85 TP: 95.45 SL: 100.55
05) USD / JPY: SELL: 92.81 TP: 92.51 SL: 97.31
I already made 25 trades, 24 win, BUT i have a BAD R/R Risk : 10 Return: 1
Now i am with Risk: 9 or 8 to Return: 1 .
I am looking for improve my TS.
Now i have Maximum drawdown = -1602 pips
Pips-408.0 Profit-$3,966.80 Trades30 (25 closed)
Thanks all.
I am starting here ...
Open...
01) USD / CHF : SELL 1.15562 TP: 1.15340 SL: 1.17830
02) EUR / JPY: SELL 122.300 TP: 121.8 SL: 126.8
03) EUR / JPY: SELL 122.053 TP: 121.65 SL: 125.65
04) USD / JPY: SELL 95.85 TP: 95.45 SL: 100.55
05) USD / JPY: SELL: 92.81 TP: 92.51 SL: 97.31
I already made 25 trades, 24 win, BUT i have a BAD R/R Risk : 10 Return: 1
Now i am with Risk: 9 or 8 to Return: 1 .
I am looking for improve my TS.
Now i have Maximum drawdown = -1602 pips
Pips-408.0 Profit-$3,966.80 Trades30 (25 closed)
Thanks all.