Day Trading the Forex for Profits...

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

  1. GBP/CAD down 0.7%,
    CAD/JPY down 1%
     
    #211     Sep 24, 2010
  2. GBP/CHF short 1.5428

    25 pip stop
    30 pip target,

    risking 0.75%
     
    #212     Sep 24, 2010
  3. CHF/JPY long from 0.8598

    risking 1.25%

    30 pip stop
    30 pip target
     
    #213     Sep 24, 2010
  4. GBP/CHF closed, 1 pip loss...basically B/E
     
    #214     Sep 24, 2010
  5. CHF/JPY - 2/3 of position closed at 30 pips - 0.825% profit

    GBP/CHF short at 1.5372
     
    #215     Sep 24, 2010
  6. final 1/3 position on CHF/JPY closed for 0.55% profit, at 41 pips.
     
    #216     Sep 24, 2010
  7. GBP/CHF closed for 0.6% loss.
     
    #217     Sep 24, 2010
  8. AUD/USD long at 0.9581

    stop at 15 pips
    target at 20

    risking 0.75%
     
    #218     Sep 26, 2010
  9. CHF/JPY short at 85.58
    risking 0.25%
    13 pip stop
    20 pip 1st target
     
    #219     Sep 27, 2010
  10. CHF/JPY closed for 0.2% loss
    little early on this one...gonna have to wait for a stronger SR level and rejection
     
    #220     Sep 27, 2010