Hi, everyone
first i want to thank all the members of that forum for excllent information that you contribute with the other people, that a great help,
i was thinking about taking 2 oppisite positions, long (GBP/JPY) and short
(EUR/JPY) and collect the swap difference.
because there is a strong corealation between the 2 pairs, but i want to ask about the possiblile risk and what is the maximium difference or drawdown that i can face?
would u please help me?
thank you very much
first i want to thank all the members of that forum for excllent information that you contribute with the other people, that a great help,
i was thinking about taking 2 oppisite positions, long (GBP/JPY) and short
(EUR/JPY) and collect the swap difference.
because there is a strong corealation between the 2 pairs, but i want to ask about the possiblile risk and what is the maximium difference or drawdown that i can face?
would u please help me?
thank you very much