Currently:
Gross (week of 8/22/09): $100,176.12 (last trade)
Withdrawal: -$10,017.61(10% - approx)
Reinvestment: $90,158.50 (90% - approx)
Next Trade Margin Used: $378,999.60
Total Pips Expected: 50
Next Expected Gross: $113,699.80
-----------------------------------------
This is where I am right now. Results subject to change (improve). Past performance typically guarantees future results (for me - most of the time). Executing ONLY high probability trades makes this possible (to a great degree).
Sometimes this is per day, sometimes this is per week. It depends on whether or not the market stalls my trade or continues it. Either way, I wait patiently for the market to conform to profile.
Sorry, I got carried away with the zeros - typo correction.
Gross (week of 8/22/09): $100,176.12 (last trade)
Withdrawal: -$10,017.61(10% - approx)
Reinvestment: $90,158.50 (90% - approx)
Next Trade Margin Used: $378,999.60
Total Pips Expected: 50
Next Expected Gross: $113,699.80
-----------------------------------------
This is where I am right now. Results subject to change (improve). Past performance typically guarantees future results (for me - most of the time). Executing ONLY high probability trades makes this possible (to a great degree).
Sometimes this is per day, sometimes this is per week. It depends on whether or not the market stalls my trade or continues it. Either way, I wait patiently for the market to conform to profile.
Sorry, I got carried away with the zeros - typo correction.