Day Trading the Forex for Profits...

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

  1. GBP/CHF, 1/4 of remaining position closed for 30 pips, another 0.28% profit
     
    #261     Oct 7, 2010
  2. final position on GBP/CHF closed at 50 pips for 0.45% profit
     
    #262     Oct 7, 2010
  3. Short GBP/CHF, 20 pip stop, 20 pip target, risking 0.5%
     
    #263     Oct 7, 2010
  4. gbp/chf, stopped out, down 0.5%
     
    #264     Oct 7, 2010
  5. short GBP/CHF at 1.5350, risking 0.75%

    1st target, 20 pips
     
    #265     Oct 7, 2010
  6. closed out at 1.5353, loss of 0.12%
     
    #266     Oct 7, 2010
  7. In GBP/AUD short, 1.6170, risking 0.5%

    20 pip stop,

    20 pip initial target
     
    #267     Oct 7, 2010
  8. AUD/JPY long 81.43, risking 1%

    20 pip stop
     
    #268     Oct 7, 2010
  9. GBP/AUD closed 1.6157, profit 13 pips,

    0.325% profit
     
    #269     Oct 7, 2010
  10. Just found your thread and read through it.

    Kudo's to you Sir.

    I also trade the FX markets but more on a Swing basis.

    I look for larger moves ranging from 70-300 pips.

    I've started a journal as well but it's a little light on trades right now because I haven't had any this week.

    Keep up the good work.
     
    #270     Oct 7, 2010