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
 
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 percent, if all targets are hit.

We shall see...

my final targets are 1.3842 on EUR/AUD, making 50 pips, and on EUR/CHF, I have 1.2760 and 1.2740.

If all are hit, I'll make between 4% and 5%.

Stops are at B/E + spread on EUR/CHF, and guaranteed 20 pip profit on EUR/AUD.
 
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
 
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
 
Back
Top