Monthly Results

 

 

November 2008 Intraday Trades -671 pips

 

At the end of this month we initiated our current daily strategy to adjust to the high level of market volatility and we added AUDUSD & EURJPY currency pairs into our daily system.  We increased our stop-loss levels but did not increase our risk per trade, thus this -671 pip month does not represent a larger than normal drawdown.

 

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Intraday Trades

 

November 2nd-7th

 

November 04 Sell EURUSD 1.2630 Loss 1.2670 -40

November 04 Buy USDCHF 1.1740 Loss 1.1700 -40

November 04 Sell USDJPY 99.10 Loss 99.45 -35

November 04 Sell GBPUSD 1.5710 Loss 1.5750 -40

November 05 Sell EURUSD 1.2845 Loss 1.2885 -40

November 05 Buy USDCHF 1.1700 Loss 1.1660 -40

November 05 Sell USDJPY 99.35 Profit 98.78 +57

November 05 Sell GBPUSD 1.5855 Profit 1.5848 +7

November 06 Sell EURUSD 1.2900 Profit 1.2860 +40

November 06 Buy USDCHF 1.1635 Expired

November 06 Sell USDJPY 98.10 Profit 98.09 +1

November 06 Sell GBPUSD 1.5885 Loss 1.5920 -35

November 07 Sell EURUSD 1.2760 Loss 1.2800 -40

November 07 Buy USDCHF 1.1740 Loss 1.1700 -40

November 07 Sell USDJPY 97.50 Loss 97.85 -35

November 07 Sell GBPUSD 1.5660 Loss 1.5700 -40 / Week Total -320

 

November 9th-14th

 

November 10 Buy EURUSD 1.2840 Loss 1.2800 -40

November 10 Sell USDCHF 1.1770 Profit 1.1766 +4

November 10 Buy USDJPY 98.90 Expired

November 10 Buy GBPUSD 1.5730 Loss 1.5690 -40

November 11 Buy EURUSD 1.2700 Profit 1.2705 +5

November 11 Sell USDCHF 1.1820 1.1860 -40

November 11 Sell USDJPY 98.00 Profit 97.83 +17

November 11 Sell GBPUSD 1.5650 Profit 1.5617 +33

November 12 Sell EURUSD 1.2615 Profit 1.2558 +57

November 12 Buy USDCHF 1.1820 Profit 1.1834 +14

November 12 Sell USDJPY 97.90 Profit 97.57 +33

November 12 Sell GBPUSD 1.5450 Profit 1.5375 +75

November 13 Sell EURUSD 1.2490 Loss 1.2530 -40

November 13 Buy USDCHF 1.1860 Expired

November 13 Sell USDJPY 95.90 Loss 96.40 -50

November 13 Sell GBPUSD 1.4920 Loss 1.4960 -40 / Week Total -12

 

November 16th-21st

 

November 18 Sell EURUSD 1.2630 Profit 1.2623 +7

November 18 Buy USDCHF 1.1960 Expired

November 18 Sell USDJPY 96.70 Profit 96.55 +15

November 18 Sell GBPUSD 1.5025 Loss 1.5065 -40

November 19 Buy EURUSD 1.2655 Expired

November 19 Sell USDCHF 1.2030 Expired

November 19 Sell USDJPY 97.00 Expired

November 19 Sell GBPUSD 1.4990 Profit 1.4987 +3

November 21 Sell EURUSD 1.2530 Loss 1.2570 -40

November 21 Buy USDCHF 1.2245 Profit 1.2246 +1

November 21 Sell USDJPY 95.00 Loss 95.40 -40

November 21 Sell GBPUSD 1.4855 Loss 1.4895 -40 / Week Total -134

 

November 23rd-28th

 

November 24 Sell EURUSD 1.2685 Expired

November 24 Buy USDCHF 1.2150 Expired

November 24 Sell USDJPY 95.50 Expired

November 24 Sell GBPUSD 1.4960 Loss 1.5000 -40

November 25 Sell AUDUSD 0.6225 Expired

November 25 Sell EURJPY 119.50 Expired

November 25 Sell EURUSD 1.2560 Expired

November 25 Sell GBPUSD 1.4840 Expired

November 25 Sell USDCHF 1.2230 Expired

November 25 Sell USDJPY 94.90 Expired

November 25 Sell AUDUSD 0.6325 Expired

November 25 Sell EURJPY 122.50 Loss 123.15 -65

November 25 Sell EURUSD 1.2795 Expired

November 25 Sell GBPUSD 1.4975 Expired

November 25 Sell USDCHF 1.2065 Loss 1.2010 -55

November 25 Sell USDJPY 94.90 Loss 95.40 -50

November 26 Sell AUDUSD 0.6425 Expired

November 26 Sell EURJPY 122.75 Loss 123.50 -175

November 26 Sell EURUSD 1.2825 Expired

November 26 Sell GBPUSD 1.5175 Expired

November 26 Sell USDCHF 1.2100 Loss 1.1925 -175

November 26 Sell USDJPY 94.50 Loss 95.50 -100

November 27 Sell AUDUSD 0.6450 Expired

November 27 Sell EURJPY 122.25 Profit 118.25 +400

November 27 Sell EURUSD 1.2850 Profit 1.2715 +135

November 27 Sell GBPUSD 1.5300 Loss 1.5400 -100

November 27 Sell USDCHF 1.2035 Profit 1.2015 +20

November 27 Sell USDJPY 94.95 Expired / Week Total -205

 

November 30th No new orders

 

  Trading Notes

 

note: trades are entered only if the recommended entry point is reached on the day of the signal.  We use the price feed from Alpari-UK, 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. 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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