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Jul 3rd-7th/06:
July 03 Sell USDCHF 1.2261 TP 1.2215 +46 July 03 Buy GBPUSD 1.8430 TP 1.8675 + 0 July 05 Buy GBPUSD 1.8439 TP 1.8475 +0 July 05 Sell USDCHF 1.2265 SL 1.2300 - 35 July 06 Sell EURUSD 1.2761 SL 1.2800 -39 / -28
Jul 10th-14th/06:
July 10 Sell USDJPY 114.11 SL 114.50 -39 July 11 Buy GBPUSD 1.8405 TP 1.8445 +40 July 13 Buy USDCHF 1.2309 TP 1.2350 +0 July13 Sell GBPUSD 1.8407 SL 1.8445 -38July 14 Sell GBPUSD 1.8441 TP 1.8395 + 46 / +9
Jul 17th-21st/06:
July 18 Sell EURUSD 1.2541 TP 1.2500 +41 July 18 Buy USDCHF 1.2468 TP 1.2515 +47 July 19 Sell GBPUSD 1.8269 TP 1.8225 +0July 21 Sell EURUSD 1.2669 SL 1.2710 - 41 / +47
Jul 24th-28th/06:
July 24 Sell USDCHF 1.2461 TP 1.2415 +0 July 24 Buy EURUSD 1.2619 TP 1.2665 +46 July 26 Buy GBPUSD 1.8402 TP 1.8448 + 46 July 28 Sell USDCHF 1.2394 TP 1.2350 + 44 July 28 Sell USDJPY 115.69 TP 115.25 +44 / +180
Jul 31st/06:
July 31 Buy GBPUSD 1.8621 TP 1.8665 +44 /+44
Total pips for month of July + 252
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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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