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  1. S

    Day Trading the Forex for Profits...

    Closed half GBP/AUD at 19 pips, profit approx 0.4% Closed 3/4 USD/CAD - profit approx 0.8% GBP/JPY closed for 0.25% loss
  2. S

    Day Trading the Forex for Profits...

    GBP/JPY long 129.15 - risking 0.5% USD/CAD stop moved to BE plust 2 pips
  3. S

    Day Trading the Forex for Profits...

    GBP/JPY long from 129.15
  4. S

    Day Trading the Forex for Profits...

    AUD/NZD stopped out - total loss 0.48%
  5. S

    Day Trading the Forex for Profits...

    made GBP/AUD 1% risk, same fill price, same target, same stop
  6. S

    Day Trading the Forex for Profits...

    AUD/NZD CLosed half position for 1 pip profit... so only have 0.5% risk now
  7. S

    Day Trading the Forex for Profits...

    moved stop USD/CAD to 1.0397
  8. S

    Day Trading the Forex for Profits...

    Risking 0.5% on GBP/AUD short, from 1.6730 stop at 1.6755 1st target 1.6700 2nd target 1.6685
  9. S

    Day Trading the Forex for Profits...

    risking full 1% on AUD/NZD now...average price at 1.2761
  10. S

    Day Trading the Forex for Profits...

    USD/CAD short at 1.0385 stop at 1.0403 target 1.0362 AUD/NZD long at 1.2762 stop at 1.2742 target 1.2780 Only risking 0.5% on AUD/NZD only risking 0.75% on USD/CAD
  11. S

    Day Trading the Forex for Profits...

    Well, was hoping for a runner, and didn't get it in either of the final two positions. Final total profit, 2.1% for the night, 5.3% for the week so far. Up about 11.5% for the month so far... Looking forward to keeping it going. Any questions, any comments.... feel free to ask! Greg
  12. S

    Day Trading the Forex for Profits...

    OK all...I just keep scaling out a bit at a time, 0.1% here, 0.15% there, 0.2% here...so I'm not gonna keep posting each exit...too much to type up here while trying to trade...BUT, I am now guaranteed 1.8% profit, even if both 2 trades get stopped out. I could make upwards of almost 5...
  13. S

    Day Trading the Forex for Profits...

    Took quarter position profit on cad/jpy, moved stop to B/E stopped out on CAD/USD for final third. Hectic night! i usually don't trade this much...however, up about 1.3%, locked in. all stops at BE +1, and last two positions are EUR/AUD and EUR/CHF
  14. S

    Day Trading the Forex for Profits...

    1st target hit on EUR/USD EUR/CHF closed half at 8 pip profit, moved stop to 1.2820
  15. S

    Day Trading the Forex for Profits...

    closed 2/3 usd/cad at 9 pip loss
  16. S

    Day Trading the Forex for Profits...

    EUR/CHF short at 1.2809, stop at 1.2829
  17. S

    Day Trading the Forex for Profits...

    EUR/USD short at 1.2728 stop at 1.2745 first target 1.2705 2nd target 1.2685
  18. S

    Day Trading the Forex for Profits...

    closed half position on CAD/JPY for 9 pip loss
  19. S

    Day Trading the Forex for Profits...

    USD/CAD stop moved to 1.0481
  20. S

    Day Trading the Forex for Profits...

    short eur/aud at 1.3893
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