Day Trading the Forex for Profits...

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

  1. Closed a quarter of the remaining EUR/USD position for 0.375% profit.
     
    #251     Oct 4, 2010
  2. Closed half of USD/CAD for 0.45% profit, and closed the final quarter of EUR/USD for 0.4% profit
     
    #252     Oct 4, 2010
  3. Closed 2/3 of NZD/USD for 0.65% profit

    NZD/USD and USD/CAD stops are moved to B/E now
     
    #253     Oct 4, 2010
  4. Guaranteed 0.3% profit tonight. Small, but up is up.

    If USD/CAD and NZD/USD hit final targets, I'll be up about 1.3% for the night.
     
    #254     Oct 4, 2010
  5. USD/CAD closed out for 0.5% profit... up about 0.8% tonight, with one trade left on.
     
    #255     Oct 4, 2010
  6. EUR/AUD short from 1.4162

    25 pip stop, risking 0.75%

    filled 1.4160.,..not 1.4162
     
    #256     Oct 7, 2010
  7. EUR/AUD closed half position for 0.375% profit, stop moved to B/E
     
    #257     Oct 7, 2010
  8. Closed EUR/AUD for 0.55%
     
    #258     Oct 7, 2010
  9. GBP/CHF short from 1.5247


    risking 0.75%. 20 pip stop
     
    #259     Oct 7, 2010
  10. GBP/CHF, half closed for 0.375% profit, stop move to BE
     
    #260     Oct 7, 2010