April 4th-8th/05:

April 4 sell EUR/USD 1.2885 TP 1.2840  +40

April 5 sell USD/JPY 108.65 TP 108.20  +45

April 5 sell USD/CAD 1.2225 SL 1.2245 -20

April 6 buy EUR/USD 1.2855 TP 1.2895 +40

April 7 buy USD/CAD 122.01 SL 121.85 -16

April 8 buy USD/CAD 122.45 TP 122.85 +40    /+129


April 11th-15th/05:

April 11 sell USD/CAD 122.58 SL 122.70  -12

April 11 buy USD/JPY 107.85 TP 108.40  +55

April 12 buy GBP/USD 1.8854 TP 1.8876 +21

April 12 sell USD/CHF 1.1996 TP 1.1960 +36

April 13 sell USD/JPY 107.25 SL 107.00 -25

April 14 buy USD/CHF 120.60 TP 120.85 +25    /+100

 

April 18th-22nd/05:

 

April 19 buy EUR/JPY 139.60 SL 139.40  -20

April 19 sell USD/CAD 124.70 TP 124.35  +35

April 19 buy GBP/USD 191.71 TP 191.10 +61

April 20 buy EUR/USD 1.3030 TP 1.3080 +50

April 21 buy USD/JPY 106.95 SL 106.65 - not entered

April 22 sell GBP/USD 1.9105 SL 1.9130 -20

April 22 sell USD/CHF 1.1814 SL 1.1830 -16     /+90

 

April 25th-29th:

 

April 25 buy GBP/USD 1.9145 SL 1.9110  - not entered

April 25 buy EUR/USD 1.2985 SL 1.2935  -50

April 26 sell EUR/JPY 137.50 TP 137.85 +35

April 26 buy GBP/USD 1.9085 SL 1.9050 - not entered

April 28 sell GBP/USD 1.9060 SL 1.9105 -55   

April 28 sell USD/CHF 1.1900 SL 1.1935  -35
April 28 buy USD/CAD 1.2504 SL 1.2475  - 29

April 29 buy GBP/USD 1.9112 TP 1.9145  +33    /-96

Total pips for the month of April +223

previous month's results posted here monthly

 

  Trading Notes

 

note: trades are entered only if the recommended entry point is reached on the day of the signal.  Members should bear in mind they may need to adjust stops and limits slightly (+/-5) according to the spreads offered by their particular brokerage.

 

»  Past performance does not guarantee future results! Trading futures, options and spot currencies involves substantial risk and there is always the potential for loss. Your trading results may vary. Because the risk factor is high in the foreign exchange market trade only funds which you can afford to lose.

 

 
 

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