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
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!
Showing posts with label buy.. Show all posts
Showing posts with label buy.. Show all posts
Thursday, 17 November 2016
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
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
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