Day Trading the Forex for Profits...

Discussion in 'Journals' started by spinfoiltrading, Sep 3, 2010.

  1. EUR/CAD closed for 0.5% loss

    Short EUR/AUD from 1.3832,

    risking 0.5%. target 1.3812,

    stop at 1.3847.
     
    #181     Sep 20, 2010
  2. AUD/USD closed for 0.3% loss
     
    #182     Sep 20, 2010
  3. Down 0.92% for asian session.
     
    #183     Sep 20, 2010
  4. Short GBP/AUD from 1.6477, risking 1%

    25 pip stop, 25 pip initial target
     
    #184     Sep 21, 2010
  5. GBP/AUD stop moved to break even
     
    #185     Sep 21, 2010
  6. Re-entered GBP/AUD at 6473.

    previous was +1 pip
     
    #186     Sep 21, 2010
  7. Closed GBP/AUD for 0.15% loss.
     
    #187     Sep 21, 2010
  8. eur/cAD short from 1.3471

    eur/jpy from 111.56

    cad/jpy 82.75
     
    #188     Sep 21, 2010
  9. CAD/JPY stopped out, 1.00% loss
     
    #189     Sep 21, 2010
  10. EUR/JPY stopped, 1% loss...

    EUR/CAD closed at B/E

    tough night. I may take tomorrow off.. I haven't liked the way the market has been acting since last week, and tonight is more of the same it seems.

    About 3% loss for the day... will post more and respond to specific posts tomorrow.

    Greg
     
    #190     Sep 21, 2010