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
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 gain. Show all posts
Showing posts with label gain. Show all posts
Thursday, 1 December 2016
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, 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
Tuesday, 25 October 2016
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
Monday, 30 November 2015
GBP/AUD
Sold GBP/AUD Nov 30th, 2015 5:36 AM UTC
Entry price sell: 2.09011
Risks: 2%
Lot size: 0.01
Take profit: 2.08358
Took profit Nov 30th, 2015 9:20 AM UTC
Took profit at 2.08355
Length of trade: 3h 44m
Net gains: 65.6 pips
Entry price sell: 2.09011
Risks: 2%
Lot size: 0.01
Take profit: 2.08358
Took profit Nov 30th, 2015 9:20 AM UTC
Took profit at 2.08355
Length of trade: 3h 44m
Net gains: 65.6 pips
Monday, 23 November 2015
GBP/JPY
Buy GBP/JPY Nov 23rd, 2015 11:27 PM UTC
Entry price buy: 185.906
Risks: 2%
Take profit: 186.919
Modifies take profit Nov 24th, 2015 186.165
Add position buy GBP/JPY Nov 24th, 2015 11:39 PM UTC
Entry price buy: 184.828
Risks: 2%
Take profit: 186.165
Entry price buy: 185.906
Risks: 2%
Take profit: 186.919
Modifies take profit Nov 24th, 2015 186.165
Add position buy GBP/JPY Nov 24th, 2015 11:39 PM UTC
Entry price buy: 184.828
Risks: 2%
Take profit: 186.165
Sunday, 22 November 2015
Monday, 16 November 2015
NZD/JPY
Buy NZD/JPY Nov 17, 2015 2:47 AM UTC
Entry price buy: 79.776
Lot size: 0.01
Risks: 2%
Take profit: 80.262
Take profit Nov 18, 2015 11:26 PM UTC
Take profit at 80.276
Length of trade: 1d 20h 38m
Net gain: 49.97 pips
Entry price buy: 79.776
Lot size: 0.01
Risks: 2%
Take profit: 80.262
Take profit Nov 18, 2015 11:26 PM UTC
Take profit at 80.276
Length of trade: 1d 20h 38m
Net gain: 49.97 pips
AUD/USD
Sell AUD/USD Nov 16, 2015 8:16 AM UTC & 8:19 AM UTC
Entry price sell: 0.71250 & 0.71255
Total lots size: 0.02
Risks: 2%
Take profit: 0.70762
Take profit Nov 17th, 2015 7:14 AM UTC
Take profit at: 0.70757
Length of trades: 22h 55m & 22h 58m
Net gains: 49.33 & 49.83 pips
Entry price sell: 0.71250 & 0.71255
Total lots size: 0.02
Risks: 2%
Take profit: 0.70762
Take profit Nov 17th, 2015 7:14 AM UTC
Take profit at: 0.70757
Length of trades: 22h 55m & 22h 58m
Net gains: 49.33 & 49.83 pips
USD/JPY
Buy USD/JPY Nov 16th, 2015 12:20 AM UTC
Entry price buy: 122.453 & 122.466
Total lots size: 0.02
Risk: 2%
Take profit:122.789
Take profit Nov 16th, 2015 8:17 AM UTC
Take profit at 122.789
Length of trade: 7h 57m
Net gains: 32.35 & 33.65 pips
Entry price buy: 122.453 & 122.466
Total lots size: 0.02
Risk: 2%
Take profit:122.789
Take profit Nov 16th, 2015 8:17 AM UTC
Take profit at 122.789
Length of trade: 7h 57m
Net gains: 32.35 & 33.65 pips
Thursday, 12 November 2015
GBP/USD
Sell GBP/USD Nov 13th, 2015 12:08 AM UTC
Entry price sell: 1.52304
Lot size: 0.01
Risks: 2%
Take profit: 1.51330
Modified take profit Nov 19, 2015 : 1.51890
Add 2nd position sell GBP/USD Nov 19, 2015 11:58 PM UTC
Entry price sell: 1.52836
Lot size: 0.01
Risks: 2%
Take profit: 1.51890
Entry price sell: 1.52304
Lot size: 0.01
Risks: 2%
Take profit: 1.51330
Modified take profit Nov 19, 2015 : 1.51890
Add 2nd position sell GBP/USD Nov 19, 2015 11:58 PM UTC
Entry price sell: 1.52836
Lot size: 0.01
Risks: 2%
Take profit: 1.51890
Took profit Nov 20th, 2015 5:34 PM UTC
Took profit at 1.51880
Length of trades:7d 17h 26m and 17h 35m
Gains: 42.4 and 95.6 pips
Wednesday, 11 November 2015
GBP/JPY
Sell GBP/JPY Nov 12th, 2015 12:33 AM UTC
Entry price sell: 187.045
Lot size: 0.01
Risks: 2%
Take profit: 185.982
Nov 17, 2015 - Modified take profit: 186.467
Nov 18, 2015 - Modified take profit: 186.930
Add 2nd position, sell GBP/JPY Nov 17th, 2015 12:02 AM UTC
Entry price sell: 187.363
Lot size: 0.01
Risks: 2%
Take profit: 186.467
18 Nov 2015 Modified take profit: 186.930
Add 3rd position, sell GBP/JPY Nov 18th, 2015 11:45 PM UTC
Entry price sell: 188.229
Lot size: 0.01
Risks: 2%
Take profit: 186.467
Took profit Nov 20th 3:43 PM UTC
Took profit at 186.930
Length of trades: 8d 15h 10m; 3d 15h 41m; 1d 15h 58m
Gains: 11.52; 43.32 and 129.92 pips
Entry price sell: 187.045
Lot size: 0.01
Risks: 2%
Take profit: 185.982
Nov 17, 2015 - Modified take profit: 186.467
Nov 18, 2015 - Modified take profit: 186.930
Add 2nd position, sell GBP/JPY Nov 17th, 2015 12:02 AM UTC
Entry price sell: 187.363
Lot size: 0.01
Risks: 2%
Take profit: 186.467
18 Nov 2015 Modified take profit: 186.930
Add 3rd position, sell GBP/JPY Nov 18th, 2015 11:45 PM UTC
Entry price sell: 188.229
Lot size: 0.01
Risks: 2%
Take profit: 186.467
Took profit Nov 20th 3:43 PM UTC
Took profit at 186.930
Length of trades: 8d 15h 10m; 3d 15h 41m; 1d 15h 58m
Gains: 11.52; 43.32 and 129.92 pips
AUD/USD
Buy AUD/USD Nov 11th, 2015 9:30 PM UTC
Entry price buy: 0.70652
Lot size: 0.01
Risk: 2%
Take profit: 0.71132
Take profit Nov 12th, 2015 12:30 AM UTC
Take profit at 0.71143
Length of trade: 3h
Net gains: 49.1 pips
Entry price buy: 0.70652
Lot size: 0.01
Risk: 2%
Take profit: 0.71132
Take profit Nov 12th, 2015 12:30 AM UTC
Take profit at 0.71143
Length of trade: 3h
Net gains: 49.1 pips
Friday, 6 November 2015
GBP/USD
Buy GBP/USD Nov 5, 2015 10:51 PM UTC
Entry price buy: 1.52111
Lot size: 0.01
Risk: 2%
Take profit: 1.53446
Modified take profit Nov 8, 2015 to 1.52322
Add position Nov 8th, 2015 10:16 PM UTC
Entry price buy: 1.50538
Lot size: 0.02
Risk 2%
Take profit: 1.52322
Take profit Nov 11th, 2015 9:20 & 9:21 PM UTC
http://tradertraveller.blogspot.com/2015/11/audusd.htmlI took profit earlier at 1.52116 (not at target) as I wanted to place AUD/USD trade. There was AUD news on Nov 11th, 2015 12:30 AM UTC. However, both GBP/USD trades did hit target at 12:30 AM UTC.
Length of trade: 1st trade - 5d 22h 29m
2nd trade - 2d 23h 4m
Net gains: 1st trade - 0.5 pip
2nd trade - 157.75 pips
Entry price buy: 1.52111
Lot size: 0.01
Risk: 2%
Take profit: 1.53446
Modified take profit Nov 8, 2015 to 1.52322
Add position Nov 8th, 2015 10:16 PM UTC
Entry price buy: 1.50538
Lot size: 0.02
Risk 2%
Take profit: 1.52322
Take profit Nov 11th, 2015 9:20 & 9:21 PM UTC
http://tradertraveller.blogspot.com/2015/11/audusd.htmlI took profit earlier at 1.52116 (not at target) as I wanted to place AUD/USD trade. There was AUD news on Nov 11th, 2015 12:30 AM UTC. However, both GBP/USD trades did hit target at 12:30 AM UTC.
Length of trade: 1st trade - 5d 22h 29m
2nd trade - 2d 23h 4m
Net gains: 1st trade - 0.5 pip
2nd trade - 157.75 pips
Subscribe to:
Posts (Atom)









































