Pairs I am testing are: USD/CHF, EUR/USD, CHF/JPY, USD/JPY, AUD/USD, EUR/CHF, NZD/USD, starting on 11-14. I've let them run continuously from Sunday evening at market open. I started at .01, and that was too slow, and went to .02, and .03 for the past two days. Have closed out all and profit is $358.00 for the week. The AUD/USD went to the 6th level before reversing. Largest drawdown was about $325.00. Looking forward to next week for additional tests on different pairs and different amounts.