Bought GBP/AUD Dec 6, 2016 8:12am UTC
Entry price: 1.71557
Lot size: 0.01
Added buy positions Dec 6, 2016 3:02pm UTC
Entry price: 1.70892 & 1.70887
Lot size: 0.01 (each position)
Target: 1.71240
Added buy positions Dec 6, 2016 10:09pm UTC
Entry price: 1.70037, 1.70061, 1.70074
Lot size: 0.01 (each position)
Adjusted target:1.70717
Disclaimer: Forex trading is not for everyone! Investing in securities, currencies and/or contracts carries inherent risks. No person, institution, or entity, including me, can guarantee a return on investment for such transactions. I never recommend purchase, sale, or transaction advice for a specific security. This blog is about my personal trading journey, and should be used for research purposes only!
Tuesday, 6 December 2016
Thursday, 1 December 2016
GBP/AUD (4698)
Bought GBP/AUD Dec 1, 2016 2:02pm UTC
Entry price: 1.71482
Lot size: 0.01
Add buy positions Dec 1, 2016 6:00pm UTC
Entry prices: 1.70091 and 1.70077
Lot size: 0.01 each position
Target: 1.70699
Took profit Dec 2, 2016 7:30pm UTC
Net gain: 50.8 pips
Entry price: 1.71482
Lot size: 0.01
Add buy positions Dec 1, 2016 6:00pm UTC
Entry prices: 1.70091 and 1.70077
Lot size: 0.01 each position
Target: 1.70699
Took profit Dec 2, 2016 7:30pm UTC
Net gain: 50.8 pips
Tuesday, 29 November 2016
GBP/AUD (4681)
Bought GBP/AUD Nov 29, 2016 2:27pm UTC
Entry price: 1.67682
Lot size: 0.01
Target: 1.67907
Added buy positions Nov 29, 2016 10:12pm UTC
Entry prices:1.67008
Lot size: 0.01 each position
Net gain: 58.8 pips
Entry price: 1.67682
Lot size: 0.01
Target: 1.67907
Added buy positions Nov 29, 2016 10:12pm UTC
Entry prices:1.67008
Lot size: 0.01 each position
Net gain: 58.8 pips
Tuesday, 22 November 2016
GBP/AUD (4671)
Bought GBP/AUD Nov 21, 2016 3:09pm UTC
Entry price: 1.69686
Lot size: 0.01
Added buy positions Nov 22, 2016 11:25am UTC
Entry prices: 1.68417 & 1.68430
Lot size: 0.01 (each position)
Target: 1.68993
Added buy positions Nov 22, 2016 10:23pm UTC
Entry prices: 1.67872; 1.67872 & 1.67856
Lot size: 0.01 (each positions)
Net gain: 60.9 pips
Entry price: 1.69686
Lot size: 0.01
Added buy positions Nov 22, 2016 11:25am UTC
Entry prices: 1.68417 & 1.68430
Lot size: 0.01 (each position)
Target: 1.68993
Added buy positions Nov 22, 2016 10:23pm UTC
Entry prices: 1.67872; 1.67872 & 1.67856
Lot size: 0.01 (each positions)
Net gain: 60.9 pips
Thursday, 17 November 2016
GBP/AUD (4623)
Bought GBP/AUD Nov 17, 2016 5:46pm UTC
Entry price: 1.67551
Lot size: 0.01
Target:1.67757
Took profit Nov 18, 2016 12:21am UTC
Net gain: 24.80 pips
Duration: 6.5 hours
Entry price: 1.67551
Lot size: 0.01
Target:1.67757
Took profit Nov 18, 2016 12:21am UTC
Net gain: 24.80 pips
Duration: 6.5 hours
Tuesday, 15 November 2016
GBP/AUD
Bought GBP/AUD Nov 15, 2016 7:40pm UTC
Entry price: 1.65415
Lot size: 0.01
Target: 1.65661
Added 2 buy positions Nov 15, 2016 10:48pm UTC
Entry prices: 1.64849 & 1.64838
Lot size: 0.01 each position
Adjusted target: 1.65200
Took profit Nov 16, 2016 5:26am UTC
Net gain: 47.6 pips
Duration: 9 hours & 6 hours
Entry price: 1.65415
Lot size: 0.01
Target: 1.65661
Added 2 buy positions Nov 15, 2016 10:48pm UTC
Entry prices: 1.64849 & 1.64838
Lot size: 0.01 each position
Adjusted target: 1.65200
Took profit Nov 16, 2016 5:26am UTC
Net gain: 47.6 pips
Duration: 9 hours & 6 hours
Thursday, 10 November 2016
GBP/AUD
Bought GBP/AUD Nov 10, 2016 4:10pm UTC
Entry price: 1.65052
Lot size: 0.01
Target: 1.65257
Took profit Nov 11, 2016 12:54am UTC
Net gain:26.7 pips
Duration: 8 hours
Entry price: 1.65052
Lot size: 0.01
Target: 1.65257
Took profit Nov 11, 2016 12:54am UTC
Net gain:26.7 pips
Duration: 8 hours
GBP/AUD (4674) (4712)
Sold GBP/AUD Nov 10, 2016 10:54am UTC
Entry price: 1.60300
Target: 1.60093
Lot size: 0.01
Added sell positions Nov 15, 2016 9:41am UTC
Entry prices: 1.64165 & 1.64162
Lot size: 0.01 (each position)
Adjusted target: 1.62733
Added sell positions Nov 22, 2016 2:00pm UTC
Entry prices: 1.6783; 1.67836; 1.67834
Lot size: 0.01 (each position)
Adjusted target: 1.65249
Added sell positions Dec 6, 2016 5:13pm UTC
Entry prices: 1.70113, 1.70074, 1.70104, 1.70102
Lot size: 0.01 (each position)
Adjusted target: 1.67170
Entry price: 1.60300
Target: 1.60093
Lot size: 0.01
Added sell positions Nov 15, 2016 9:41am UTC
Entry prices: 1.64165 & 1.64162
Lot size: 0.01 (each position)
Adjusted target: 1.62733
Added sell positions Nov 22, 2016 2:00pm UTC
Entry prices: 1.6783; 1.67836; 1.67834
Lot size: 0.01 (each position)
Adjusted target: 1.65249
Added sell positions Dec 6, 2016 5:13pm UTC
Entry prices: 1.70113, 1.70074, 1.70104, 1.70102
Lot size: 0.01 (each position)
Adjusted target: 1.67170
Tuesday, 8 November 2016
GBP/AUD
Sold GBP/AUD Nov 8, 2016 5:05pm UTC
Entry price: 1.59953
Lot size: 0.01
Entry price: 1.59953
Lot size: 0.01
Took profit Nov 8, 2016 8:23pm UTC
Net gain: 20.60 pips
Duration: 3 hours
GBP/AUD
Sold GBP/AUD Nov 7, 2016 9:29pm UTC
Entry price: 1.60439
Lot size: 0.01
Took profit Nov 8 4:32pm UTC
Net gain: 17.10 pips
Duration: 19 hours
Entry price: 1.60439
Lot size: 0.01
Took profit Nov 8 4:32pm UTC
Net gain: 17.10 pips
Duration: 19 hours
GBP/AUD
Sold GBP/AUD Nov 7, 2016 8:28pm UTC
Entry price: 1.60809
Lot size: 0.01
Took profit Nov 7, 2016 9:13pm UTC
Net gain: 22.40 pips
Duration: 44 minutes
Entry price: 1.60809
Lot size: 0.01
Took profit Nov 7, 2016 9:13pm UTC
Net gain: 22.40 pips
Duration: 44 minutes
Friday, 4 November 2016
GBP/AUD
Bought GBP/AUD Nov 4, 2016 3:57pm UTC
Entry price: 1.63775
Lot size: 0.01
Take profit: 1.64000
Added buy positions Nov 4, 2016 7:02pm UTC
Entry price:1.62957 & 1.62960
Lot size: 0.01 each position
Adjusted take profit: 1.63380
Entry price: 1.63775
Lot size: 0.01
Take profit: 1.64000
Added buy positions Nov 4, 2016 7:02pm UTC
Entry price:1.62957 & 1.62960
Lot size: 0.01 each position
Adjusted take profit: 1.63380
Added buy positions Nov 7, 2016 10:05am UTC
Entry prices: 1.61483; 1.61484 & 1.61458
Lot size: 0.01 each position
Adjusted take profit: 1.62469
Took profit Nov 9, 2016 2:36am UTC
Net gain: 113.3 pips
Duration: 4 days and 1 day
Tuesday, 1 November 2016
GBP/AUD
Sold GBP/AUD Nov 1, 2016 7:47AM UTC
Entry price sell: 1.59302
Lot size: 0.01
Profit: 1.59093
Added sell positions Nov 1, 2016 6:55PM UTC
Entry price: 1.60042 & 1.60054
Lot size: 0.01 (each position)
Adjusted profit: 1.59644
Added sell positions Nov 7, 2016 7:57am UTC
Entry prices: 1.6155; 1.61568 & 1.6156
Lot size: 0.01 (each position)
Adjusted profit: 1.60581
Took profit Nov 7, 2016 7:47pm UTC
Net gain: 53.9 pips
Trades duration: 6 days & 11 hours
Entry price sell: 1.59302
Lot size: 0.01
Profit: 1.59093
Added sell positions Nov 1, 2016 6:55PM UTC
Entry price: 1.60042 & 1.60054
Lot size: 0.01 (each position)
Adjusted profit: 1.59644
Added sell positions Nov 7, 2016 7:57am UTC
Entry prices: 1.6155; 1.61568 & 1.6156
Lot size: 0.01 (each position)
Adjusted profit: 1.60581
Took profit Nov 7, 2016 7:47pm UTC
Net gain: 53.9 pips
Trades duration: 6 days & 11 hours
Tuesday, 25 October 2016
GBP/AUD
Sold GBP/AUD Oct 26, 2016 00:39AM UTC
Entry price sell: 1.57914
Lot size: 0.01
Profit: 1.57685
Add sell positions Oct 26, 2016 12:03PM UTC
Entry price: 1.59060 & 1.59053
Size: 0.01 & 0.01
Adjusted profit: 1.58511
Add sell positions Oct 26, 2016 5:33PM UTC
Entry price: 1.59867; 1.59874 & 1.59881
Size: 0.01 (each position)
Adjusted profit: 1.59108
Take profit Nov 1, 2016 12:22PM UTC
Profit: 100.3 pips
Duration: 6 days & 5 days
Entry price sell: 1.57914
Lot size: 0.01
Profit: 1.57685
Add sell positions Oct 26, 2016 12:03PM UTC
Entry price: 1.59060 & 1.59053
Size: 0.01 & 0.01
Adjusted profit: 1.58511
Add sell positions Oct 26, 2016 5:33PM UTC
Entry price: 1.59867; 1.59874 & 1.59881
Size: 0.01 (each position)
Adjusted profit: 1.59108
Take profit Nov 1, 2016 12:22PM UTC
Profit: 100.3 pips
Duration: 6 days & 5 days
GBP/AUD
Sold GBP/AUD Oct 26, 2016 00:30AM UTC
Entry price sell: 1.58490
Lot size: 0.01
Profit Oct 26, 2016 00:33AM UTC
Profit at 1.58255
Length of trade: 2m 33s
Net gain: 23.5 pips
Entry price sell: 1.58490
Lot size: 0.01
Profit Oct 26, 2016 00:33AM UTC
Profit at 1.58255
Length of trade: 2m 33s
Net gain: 23.5 pips
GBP/AUD
Sold GBP/AUD Oct 25, 2016 13:23PM UTC
Entry price sell: 1.59040
Lot size: 0.01
Take profit Oct 25, 2016 13:48 PM UTC
Take profit at 1.58799
Length of trade: 24m59s
Net gain: 24.1 pips
Entry price sell: 1.59040
Lot size: 0.01
Take profit Oct 25, 2016 13:48 PM UTC
Take profit at 1.58799
Length of trade: 24m59s
Net gain: 24.1 pips
GBP/AUD
Sold GBP/AUD Oct 25, 2016 12:22PM UTC
Entry price sell: 1.59698
Lot size: 0.01
Take profit: 1.59470
Take profit Oct 25, 2016 13:05 PM UTC
Take profit at 1.59472
Length of trade: 43m 8S
Net gain: 22.6 pips
Entry price sell: 1.59698
Lot size: 0.01
Take profit: 1.59470
Take profit Oct 25, 2016 13:05 PM UTC
Take profit at 1.59472
Length of trade: 43m 8S
Net gain: 22.6 pips
GBP/AUD
Sold GBP/AUD Oct 25, 2016 8:53AM UTC
Entry price sell: 1.60051
Lot size: 0.01
Take profit: 1.59842
Take profit Oct 25, 2016 12:20 PM UTC
Take profit at 1.59833
Length of trade: 3h 27m
Net gain: 21.8 pips
Entry price sell: 1.60051
Lot size: 0.01
Take profit: 1.59842
Take profit Oct 25, 2016 12:20 PM UTC
Take profit at 1.59833
Length of trade: 3h 27m
Net gain: 21.8 pips
Monday, 24 October 2016
GBP/AUD
Bought GBP/AUD Oct 6, 2016 6:48AM UTC
Entry price sell: 1.67682
Lot size: 0.03
Take profit: 1.69087
Added buy positions Oct 18, 2016 2:59PM UTC
Entry prices: 1.60661; 1.60665; 1.60673; 1.60682
Lot size: 0.01 each position
Adjusted take profit:1.65865
Added buy positions Nov 1, 2016 2:43PM & 3:10PM UTC
Entry prices: 1.59635; 1.59662; 1.59695; 1.59697; 1.59702 & 1.59713
Lot size: 0.01 (each position)
Adjusted take profit: 1.63634
Took profit Nov 4, 2016 3:35pm UTC
Net gains: 3045.9 pips
Length of time: 29 days, 17 days & 3 days
Entry price sell: 1.67682
Lot size: 0.03
Take profit: 1.69087
Added buy positions Oct 18, 2016 2:59PM UTC
Entry prices: 1.60661; 1.60665; 1.60673; 1.60682
Lot size: 0.01 each position
Adjusted take profit:1.65865
Added buy positions Nov 1, 2016 2:43PM & 3:10PM UTC
Entry prices: 1.59635; 1.59662; 1.59695; 1.59697; 1.59702 & 1.59713
Lot size: 0.01 (each position)
Adjusted take profit: 1.63634
Took profit Nov 4, 2016 3:35pm UTC
Net gains: 3045.9 pips
Length of time: 29 days, 17 days & 3 days
Sunday, 23 October 2016
GBP/AUD
Sold GBP/AUD Oct 21, 2016 12:11PM UTC
Entry price sell: 1.59680
Lot size: 0.01
Take profit: 1.59480
Add sell positions Oct 24, 2016 1:21AM UTC
Entry price: 1.62424 & 1.60422
Lot size: 0.01 & 0.01
Adjusted take profit:1.60028
Take profit Oct 25, 2016 8:50 AM UTC
Take profit at 1.59998
Length of trade: 3d 20h & 1d 7h
Net gain: 54.4 pips
Entry price sell: 1.59680
Lot size: 0.01
Take profit: 1.59480
Add sell positions Oct 24, 2016 1:21AM UTC
Entry price: 1.62424 & 1.60422
Lot size: 0.01 & 0.01
Adjusted take profit:1.60028
Take profit Oct 25, 2016 8:50 AM UTC
Take profit at 1.59998
Length of trade: 3d 20h & 1d 7h
Net gain: 54.4 pips
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