Ok thanks
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Disliked{quote} The exits that I made is taken like this: If trade gone in profit more than 90-100 pips then I set SL when oposite signal occurs.If the profit is less then 90-100 pips I set PO as hedge.Sometimes I've closed trades just because target sum of 100$ in net profit was reached. I've just aiming at large portions of pips to take and atleast not to lose.Sometimes BE is profit too Good luck P.S. No weekly or daily targets.My target is min +400 a month.All after that is a bonusIgnored
Disliked{quote} That's the part that only you can decide, its up to you.If you watched the videos here you can see that you have few options to manage exits but its up to you.Ignored
Disliked{quote} I am aware of that, what I meant was the number pips of over 800 achieved in March for GU, was it based on stop and reverse for cases where you had more than 90-100 pips profit?Ignored
Disliked{quote} I have never did reverse after profit of +100. Just stop trading until the next day.Ignored
DislikedHi thanks to 60MM my whole forex believe system has been shaken lol i watched most of the videos provided in this thread i understand the basic mechanics of the system but can someone please clarify for me if we trade the first bar of the London open that makes a hi low even if the hi and low prints inside the Asian session or do we take trades that makes a hi low above or below the asian session thanksIgnored
Disliked{quote} not back from holiday, but trading a little bit on daily and H1Ignored
DislikedI find exits on daily much harder than hourly, exit early and you miss the rest of the move, exit late and you give back a lot; finding the optimum is difficult.Ignored
DislikedI find exits on daily much harder than hourly, exit early and you miss the rest of the move, exit late and you give back a lot; finding the optimum is difficult.Ignored