Monthly Results

 

 

January 2009 Intraday Trades +1470 pips

 

 

January 2009 Swing Trades -160 pips

 

 

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Intraday Trades

 

January 4th-9th

 

January 05 Sell AUDUSD 0.6915 Expired

January 05 Sell EURJPY 126 Expired

January 05 Sell EURUSD 1.3835 Profit 1.3655 +180

January 05 Sell GBPUSD 1.4375 Expired

January 05 Sell USDCHF 1.0615 Expired

January 05 Sell USDJPY 90.6 Expired

January 05 Sell AUDUSD 0.7065 Loss 0.7100 -35

January 05 Sell EURJPY 126.35 Loss 126.85 -50

January 05 Sell GBPUSD 1.4430 Expired

January 05 Sell USDCHF 1.071 Expired

January 05 Sell USDJPY 91.80 Expired

January 06 Sell AUDUSD 0.7030 Expired

January 06 Sell EURJPY 125.10 Expired

January 06 Sell GBPUSD 1.4510 Expired

January 06 Sell USDCHF 1.1070 Break-Even +0

January 06 Sell USDJPY 92.8 Profit 90.00 +280

January 07 Sell AUDUSD 0.7090 Break-Even +0

January 07 Sell EURJPY 125.60 Break-Even +0

January 07 Sell EURUSD 1.3430 Expired

January 07 Sell GBPUSD 1.4800 Expired

January 08 Sell AUDUSD 0.6950 Expired

January 08 Sell EURJPY 124.00 Loss 124.50 -50

January 08 Sell EURUSD 1.3535 Profit 1.3250 +285

January 08 Sell GBPUSD 1.4980 Expired

January 08 Sell USDCHF 1.0850 Expired / Week Total +610

 

January 11th-16th

 

January 11 Sell AUDUSD 0.6950 Profit 0.6800 +150

January 11 Sell EURJPY 121.50 Expired

January 11 Sell GBPUSD 1.4975 Profit 1.4700 +275

January 11 Sell USDCHF 1.0885 Expired

January 12 Sell EURJPY 118.50 Loss 119.05 -55

January 12 Sell USDCHF 1.1100 Expired

January 13 Sell EURJPY 117.00 Loss 117.55 -55

January 13 Sell USDCHF 1.1135 Loss 1.1175 -40

January 14 Sell AUDUSD 0.6570 Loss 0.6615 -45

January 14 Sell EURJPY 116.50 Loss 117.05 -55

January 14 Sell USDCHF 1.1115 Expired

January 15 Sell AUDUSD 0.6530 Expired

January 15 Sell EURJPY 116.20 Expired

January 15 Sell USDCHF 1.1114 Loss 1.1175 -35

January 15 Sell USDJPY 88.50 Expired / Week Total +140

 

January 18th-23rd

 

January 19 Sell AUDUSD 0.6640 Profit 0.6600 +40

January 19 Sell EURJPY 118.00 Profit 113.25 +475

January 19 Sell EURUSD 1.3020 Break-Even +0

January 19 Sell GBPUSD 1.4340 Profit 1.3900 +440

January 19 Sell USDCHF 1.1115 Expired

January 19 Sell USDJPY 90.10 Loss 90.40 -30

January 20 Sell USDJPY 89.6 Profit 89.25 +35

January 21 Sell AUDUSD 0.6600 Profit 0.6565 +35

January 21 Sell EURJPY 115.25 Loss 116.25 -100

January 21 Sell EURUSD 1.2820 Expired

January 21 Sell USDCHF 1.1375 Expired

January 22 Sell EURUSD 1.3010 Loss 1.2950 -60

January 22 Sell EURJPY 113.90 Loss 114.25 -35

January 22 Sell EURUSD 1.2895 Break-Even +0

January 22 Sell USDCHF 1.1495 Expired / Week Total +800

 

January 25th-30th

 

January 25 Sell AUDUSD 0.6410 Expired

January 25 Sell EURJPY 112.45 Expired

January 25 Sell EURUSD 1.2760 Expired

January 25 Sell USDCHF 1.1515 Profit 1.1455 +60

January 25 Sell USDJPY 87.95 Expired

January 26 Sell USDJPY 88.25 Expired

January 27 Sell AUDUSD 0.6565 Expired

January 27 Sell EURJPY 116.00 Expired

January 27 Sell GBPUSD 1.3925 Expired

January 27 Sell USDJPY 88.40 Expired

January 28 Sell AUDUSD 0.6590 Loss 0.6600 -10

January 28 Sell EURUSD 1.3100 Loss 1.3150 -50

January 28 Sell GBPUSD 1.4125 Loss 1.4175 -50

January 28 Sell USDCHF 1.1325 Expired

January 28 Sell USDJPY 88.90 Expired

January 29 Sell EURUSD 1.2855 Closed In February

January 29 Sell USDCHF 1.1400 Expired

January 29 Sell USDJPY 89.45 Loss 89.75 -30 / Week Total -80

 

 

Swing Trades

 

January 08 Sell EURUSD 1.3850 Canceled

January 22 Sell EURUSD 1.3010 Loss 1.2950 -60

January 29 Sell EURUSD 1.3150 Loss 1.3050 -100

 

 

  Trading Notes

 

*   Note: This Proft/Loss is based on our stated risk level per trade. Each trader can determine their own particular risk toleration level and adjust accordingly.  Along with each order we state how much we are risking with each particular trade.  We use Alpari-UK as our price feed and we include all spread costs in our results reporting.   Members should bear in mind they may need to adjust stops and limits slightly 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. Because the risk factor is high in the foreign exchange market trade only funds which you can afford to lose.

 

 
 

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