FOREX:
Looking slightly better today, I closed four trades:
- short trade on British Pound / US Dollar with a profit of $290
- long trade on US Dollar / Canadian Dollar taking a lose of $569.60
- long trade on US Dollar / Swiss Franc taking a lose of $128
- short trade on British Pound / Japanese Yen taking a profit of $1381.25
and received exit signals for:
- short trade on US Dollar / Japanese Yen with an entry signal for a long trade
- short trade on Euro / US Dollar with an entry signal for a long trade
- short trade on Euro / Swiss Franc with an entry signal for a long trade
- short trade on Euro / Japanese Yen with an entry signal for a long trade
Profit on open trades is currently $1,298.50 while closed trades at -$2,342.75 a total of -$1,044.25.
Day Two of non US Dollar pairs has an open profit of -$203.35.
COMMODITIES:
Data for Commodities is over three hours late today so when/iff it comes in I will update this post.



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