OK...so I will post here on what my trades are on FX... Daily basis maybe I hope this will work out! as I go along with the trades GL for gbp/chf Longing at 2.4063 today Target 2.4355 NZD/JPY Longing at 88.10 88.12 Target 89.80 right now I am with these B= Buy S= Short EUR/JPY B 161.27 EUR/JPY B 161.27 EUR/JPY B 161.3 AUD/NZD B 1.1199 USD/JPY B 118.67 EUR/GBP B 0.6766 EUR/GBP B 0.6766 EUR/GBP B 0.6766 USD/JPY B 118.68 CAD/JPY B 104.96 AUD/JPY B 99.35 AUD/JPY B 99.4 CAD/JPY B 105.01 USD/CAD S 1.1298 EUR/CHF B 1.6401 EUR/CHF B 1.6402 EUR/GBP B 0.6774 EUR/GBP B 0.6775 CAD/JPY B 105.28 GBP/AUD S 2.4007 GBP/AUD S 2.3998 GBP/AUD S 2.3919
some up dates for fx swings April 23 2007 roughly this should do well Swing Trades Targets time frame avg 40 days USD/CAD Buy 1.12 Target 1.18 USD/CHF Buy 1.2020 Target 1.25 USD/JPY Sell 1.2130 Target 115.6 GBP/USD Sell 2.001 Target 1.92 EURUSD Sell 1.3650 Target 1.31 AUDUSD Sell .8430 Target .7650 NZD/USD Sell .7515 Target .6820 EUR/AUD Buy 1.6060 Target 1.700 EURCAD Buy 1.52 Target 1.57 CAD/JPY Sell 107 Target 98 NZD/JPY Sell 91.5 Target 0.78 AUD/NZD Buy 1.1120 Target 1.1430 GBP/JPY Sell 242 Target 220 EUR/JPY Sell 162 Target 151