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December 2008 Intraday Trades +65 pips
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Intraday Trades
December 1st-5th
December 01 Sell AUDUSD 0.6500 Expired December 01 Sell GBPUSD 1.5250 Profit 1.4760 +490 December 01 Sell USDJPY 95.10 Profit 92.65 +245 December 01 Sell AUDUSD 0.6360 Loss 0.6390 -30 December 02 Sell AUDUSD 0.6335 Expired December 02 Sell EURUSD 1.2555 Expired December 02 Buy USDCHF 1.2100 Loss 1.2070 -30 December 03 Sell AUDUSD 0.6385 Expired December 03 Sell EURUSD 1.2595 Loss 1.2640 -45 December 03 Buy USDCHF 1.2175 Loss 1.2145 -30 December 04 Sell AUDUSD 0.6385 Expired / Week Total +600
December 7th-12th
December 08 Sell AUDUSD 0.6275 Expired December 08 Sell EURJPY 115.75 Expired December 08 Sell EURUSD 1.2625 Expired December 08 Buy USDCHF 1.2255 Expired December 08 Sell USDJPY 91.50 Expired December 08 Sell AUDUSD 0.6450 Expired December 08 Sell EURJPY 117.80 Expired December 08 Sell EURUSD 1.2725 Expired December 08 Sell GBPUSD 1.4660 Expired December 08 Buy USDCHF 1.2215 Expired December 08 Sell USDJPY 92.55 Loss 92.90 -35 December 09 Sell AUDUSD 0.6490 Expired December 09 Sell EURJPY 118.40 Expired December 09 Sell EURUSD 1.2800 Expired December 09 Sell GBPUSD 1.4675 Expired December 09 Buy USDCHF 1.2175 Expired December 10 Sell AUDUSD 0.6515 Expired December 10 Sell EURJPY 119.00 Expired December 10 Sell EURUSD 1.2900 Expired December 10 Sell GBPUSD 1.4735 Expired December 10 Buy USDCHF 1.2085 Expired December 10 Sell USDJPY 92.05 Profit 89.25 +280 December 11 Sell AUDUSD 0.6540 Loss 0.6600 -60 December 11 Sell EURJPY 120.25 Loss 120.85 -60 December 11 Sell EURUSD 1.3000 Expired December 11 Sell GBPUSD 1.4775 Expired December 11 Buy USDCHF 1.2005 Expired / Week Total +125
December 14th-19th
December 14 Sell AUDUSD 4900 Expired December 14 Sell EURJPY 118.15 Expired December 14 Sell EURUSD 1.3250 Expired December 14 Sell GBPUSD 1.4825 Expired December 14 Buy USDCHF 1.1885 Expired December 15 Sell AUDUSD 0.6615 Expired December 15 Sell EURJPY 121.50 Expired December 15 Buy EURUSD 1.3675 Loss 1.3640 -35 December 15 Sell GBPUSD 1.4925 Expired December 15 Buy USDCHF 1.1775 Expired December 16 Sell EURJPY 122.50 Expired December 16 Buy EURUSD 1.4150 Loss 1.4050 -100 December 16 Sell USDCHF 1.1140 Loss 1.1235 -95 December 17 Sell AUDUSD 0.6855 Loss 0.6905 -50 December 17 Buy EURJPY 124.25 Expired December 18 Sell EURJPY 126.75 Break-Even +0 December 18 Sell EURUSD 1.4190 Profit 1.4025 +165 December 18 Sell USDGBP 1.4875 Loss 1.4975 -100 December 18 Buy USDCHF 1.0875 Break-Even +0 December 18 Sell USDJPY 87.15 Expired / Week Total -215
December 21st-26th
December 21 Sell AUDUSD 0.6760 Expired December 21 Sell USDJPY 88.35 Expired December 22 Sell AUDUSD 0.6800 Loss 0.6830 -30 December 22 Sell GBPUSD 1.4675 Loss 1.4725 -50 December 22 Sell USDJPY 89.05 Expired December 23 Sell EURJPY 125.55 Expired December 23 Sell GBPUSD 1.4675 Loss 1.4725 -50 December 23 Buy USDCHF 1.095 Expired December 23 Sell USDJPY 89.85 Expired / Week Total -130
December 28th-31st
December 28 Sell AUDUSD 0.6800 Expired December 28 Sell EURJPY 126.50 Loss 126.80 -30 December 28 Sell EURUSD 1.3990 Loss 1.4025 -35 December 28 Sell GBPUSD 1.4640 Loss 1.4675 -35 December 28 Sell USDCHF 1.0665 Profit 1.0650 +15 December 28 Sell USDJPY 90.25 Loss 90.50 -25 December 29 Sell AUDUSD 0.6830 Expired December 29 Sell EURJPY 126.10 Expired December 29 Sell GBPUSD 1.4375 Expired December 29 Sell USDJPY 89.75 Expired December 30 Sell AUDUSD 0.6850 Loss 0.6880 -30 December 30 Sell EURJPY 126.20 Loss 126.65 -45 December 30 Sell EURUSD 1.3915 Loss 1.3980 -65 December 30 Sell GBPUSD 1.4375 Loss 1.4415 -40 December 30 Sell USDJPY 90.15 Loss 90.40 -25 / Week Total -315
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note: Trades are entered only if the recommended entry point is reached before our expiration time the following day. Members should bear in mind they may need to adjust stops and limits slightly according to the spreads offered by their particular brokerage. We currently use Alpari-UK as our price feed and we include all spread costs in our results reporting.
» Past performance does not guarantee future results! Trading futures, options and spot currencies involves substantial risk and there is always the potential for loss. Because the risk factor is high in the foreign exchange market trade only funds which you can afford to lose.
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