Trade exited at 1.3361. 195 pips earned, Rather watch for a while. 1 Wins, 0 Losses. Percentage: 100% Cumulative Risk Premia: +1.14 Average Risk Premia: +1.14 I'm going to take a full week off between trades. Won't look at the market until December 6th.
1 Wins, 0 Losses. Percentage: 100% Cumulative Risk Premia: +1.14 Average Risk Premia: +1.14 Short. Trigger: 1.3228 Cancellation: 1.3402 or no trigger by Thursday 6 pm Stop: 1.3375 Risk: 2 pips + 142 pips = 147 pips = 1.00 risk point
Not what I had in mind. Out at 1.3230. -2 pips + spread = -4 pips = -0.03 risk points I intend to use a 5 trade SMA to track average risk premia. I'll decide on what to do for the other stats when the time comes, although naturally I expect cumulative will stay cumulative. 1 Wins, 1 Losses. Win Percentage: 50% Cumulative Risk Premia: +1.11 Average Risk Premia: +0.56 (last trades: -0.03, +1.12) No trading until Thursday, December 16th.
1 Wins, 1 Losses. Win Percentage: 50% Cumulative Risk Premia: +1.11 Average Risk Premia: +0.56 (last trades, recent first: -0.03, +1.12) Short. Trigger: 1.3553 Stop: 1.3703 Cancellation: 1.3748 or Monday 6 pm Risk: 2 pips + 150 pips = 152 pips = 1.00 risk point
I completely forgot about my trade. I am pretty sure it triggered followed by a stop out, and I will update my numbers when I get a chance.