Day Trading the Forex for Profits...

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

  1. CHF/JPY short - 85.60 - risking 1%

    18 pip stop
    22 pip initial target
     
    #221     Sep 27, 2010
  2. AUD/USD closed out half at 4 pip loss, 0.11%
     
    #222     Sep 27, 2010
  3. CAD/CHF long at 0.9607, risking 0.6%

    13 pip stop

    15 pip initial target
     
    #223     Sep 27, 2010
  4. CAD/CHF taken for 0.5% profit
     
    #224     Sep 27, 2010
  5. CHF/JPY half position closed out at 17 pips... approx 0.5% profit

    2nd target 85.17

    3rd target 84.85
     
    #225     Sep 27, 2010
  6. SOrry guys! a little late on this one...but in CAD/CHF again long, from 9630...1st target 9650, stop 9613.

    risking 1%
     
    #226     Sep 27, 2010
  7. AUD/USD 1st target hit, took half remaining position off. 0.25% profit

    stop moved to B/E + 2 pips
     
    #227     Sep 27, 2010
  8. CHF/JPY stop moved to BE+5 pips.
     
    #228     Sep 27, 2010
  9. took a quarter of CAD/CHF off, don't like the price stall.

    8 pips profit, approx 0.2% profit
     
    #229     Sep 27, 2010
  10. CHF/JPY short again, for 0.5% risk. 85.38 entry, 85.53 stop, 85.15 target
     
    #230     Sep 27, 2010