P.E.I Majors

Discussion in 'Journals' started by Depth Trade, Aug 9, 2005.

  1. S/L for Eur/usd position.

    Eur/usd short 1.1945 s/l 1.2145
     
    #51     Oct 25, 2005
  2. Out of Positions.

    Aud/usd short .7484 out s/l .7550

    Eur/usd short 1.1945 out s/l 1.2125

    Gbp/usd No position.

    Usd/chf long 1.2929 out s/l 1.2795

    Usd/jpy long 115.96 out 115.63

    E.T. thread + 200 pips, + 0.37 %, ^09/08/05
     
    #52     Oct 28, 2005
  3. milstar

    milstar

    Gentlemen

    What is your prediction for usd/chf, eur/usd ,usd/jpy after FOMC
    anounsement at thuesday and after market incorporated news and statement at wednesday ?

    What is your prediction for FOMC decision and statement ?
    4.0 % non agressive stament
    4.0% + aggresive stament
    4.25 % + aggresive stament ?

    Friday closed -

    edz5 -95.52
    edm6 -95.185
    leiz5-97.630
    esz5 -1199.75
    enz5-1560.50
    ertz5- 635.30
    qmz5-61.22
    zgz5-474.8
    ecz5-1.2095
    sfz5-0.7844
    jyz5-0.8696
    lftz5-5220.5
    gnkz5-13435
    gmctx5-4331.50
    daxz5-4869.50
    dexz5-3272.0
    smiz5-6872.00
    aexz5-386.25
    hhax5-14143

    x-november,z-december
    Author would very pleased for answer.Excuse the author ,if request is not relevant .

    Your respectfully milstar
     
    #53     Oct 30, 2005
  4. Hello Milstar, I will respond later when I have more time.
    Have entered following positions.

    Aud/usd long .7501

    Eur/usd long 1.2063

    Gbp/usd long 1.7743

    Usd/chf short 1.2816

    Usd/jpy short 115.54

    E.T. thread + 200 pips, + 0.37 %, ^09/08/05
     
    #54     Oct 30, 2005
  5. milstar

    milstar

    Dear Sir

    Author would very pleased for your message.

    Also important ,what kind of tactical maneuvr would used
    after news anounsement ?

    -50-70 points against news /clean options and stop loss position/ in 1-5 minuts and after that +50-70 points in direction
    of news ? For eur/usd usd/chf usd/jpy as most volatile in this year .

    Author have not and not planned any real money forex activities ,as all trading controlled by principals /no pure agent/ with trading activities against clients orders
     
    #55     Oct 30, 2005
  6. StopLoss for positions.

    Aud/usd long .7501 s/l .7465

    Eur/usd long 1.2063 s/l 1.1920

    Gbp/usd long 1.7743 s/l 1.7630

    Usd/chf short 1.2816 s/l 1.2955

    Usd/jpy short 115.54 s/l 116.25

    E.T. thread + 200 pips, + 0.37 %, ^09/08/05
     
    #56     Oct 31, 2005
  7. Hello again Milstar. It matters what your time frame is. I don't think any of the above 'issues' will carry the market more than a few days, before 'big money' trends resume. (i.e. Petrols, metals et.)
    I personally would play out the market along with the 'money flow'.
    These 'guys' are likely to reverse there statement/ alter there wording in a few days anyhow.

    Milstar, you could buy two inexpensive 'box options' on the Oanda.

    1. Open a 5 minute chart, buy two 'hit boxes' (5 min. in length) for the exact five minute bar that the announcement is due.
    About 6 minutes before news announcement and new 5min. bar, enter 'options' about 10 pips out on both sides.
    Market could burst in either direction, hitting your option and covering purchase prices.
    Depth Trade
     
    #57     Oct 31, 2005
  8. milstar

    milstar

    Dear Sir

    Author is very pleased for your message. As stated before
    author is not interessed for trading forex with real money account . Oanda is market maker , IB also and IB book reflected only 1 % of the total market . Hotspotfx approx equal.

    To date author not know about any pure agent in FX industry ,if you know any please inform author .


    Best wish milstar
     
    #58     Oct 31, 2005
  9. Out of positions.

    Aud/usd long .7501 out .7465

    Eur/usd long 1.2063 out 1.1920

    Gbp/usd long 1.7743 out 1.7630

    Usd/chf short 1.2816 out 1.2955

    Usd/jpy short 115.54 out 116.25

    E.T. thread -302 pips, - 0.77 %, ^09/08/05
     
    #59     Nov 4, 2005
  10. milstar

    milstar

    Post factum

    Author in contest by commerzbank /www.trader2005.de/ catched Zertifikate/CFD or mini future / on usd/chf at 1.2695
    on Friday 28.10.2005 . To end of friday that was approx +330% ,but after 20.00 going back to +279% ,what is approx not enough to win week w43/week w42 won author +539.9% = 2222 euro price money for zero risk/ . Monday was approx +640% ,thuesday +700%

    Author have had ideja ,that Great players would test
    year high 1.3084 ,but tought that would after rate hike .

    Not the case ,closed position with profit +400% .
    and after that loss all with eur/czk bull.

    If hold position until Friday 04.11.2005 was approx +1100%,but that would not enough to win week price or
    grand price /Jaguar executive 47500 euro/

    Result is full correct ,as author is very worst with forex and essentialy not like to hold position more as 48 hours ,independent from reward perspective .

    Best wish milstar
     
    #60     Nov 5, 2005