Thanks ammo -- is this based on futures volumes or do you actually get volume for spot? Is the volume cumulative from June 2010?
I had intended to keep my risk constant in pips not dollars (around 7-10 pips) -- but market has been really fast and moved against me by twice my...
I took another long and got smoked again -- today account value goes below the value at the start of the journal.. currently stands at around...
bought EUR at 1.4240 and before I can turn around and do anything it was already in the teens - i covered at 1.4213 not a good day rebought...
S&P downgrades US outlook -- sitting on the sidelines until market settles down
next trade is either a long 1.4240 or a short above 1.4325
Long EUR at 1.4275 stop below 1.4268 - target 1.4280 **Stopped out** darn that was fast
Out 1.4383 -- going to watch some TV -- used to keep myself busy with poker -- this is going to be much tougher now..
Re-entered long at 1.4384 target 1.44, stop loss at 1.4472
Out at 1.4380
Stopped out re-entered 500k at 1.4356 stop below 1.4350 - target 1.4380
re-entered trade - 550k 1.4372 Stop below 1.4365 target 1.44
Stopped out
Long 550k EUR 1.4386 - stop below 1.4378 - target 1.44
Account Value 17,745 Also giving myself props for closing shop early on Friday after I hit my DTE.
This is the trade set up that I should've taken on Friday - taking it now - and out at 83.145 ** why does ET forbid you from posting two...
This is the trade set up that I should've taken on Friday - taking it now - and out at 83.145
long 600k USD/JPY at 83.04 - stop at 82.95. Target 83.15
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