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Sep 1st-2nd/05: Sep 1 sell USD/CAD 1.1889 TP 1.1845 +44 /+44
Sep 5th-9th/05:
Sep 5 sell USD/CHF 1.2270 TP 1.2305 -35 Sep 5 buy EUR/USD 1.2552 SL 1.2520 -32 Sep 6 sell USD/CHF 1.2372 TP 1.2330 +42 Sep 7 buy EUR/USD 1.2459 SL 1.2420 -39 Sep 7 sell USD/CAD 1.1889 SL 1.1842 +4 7Sep 7 buy EUR/JPY 137.03 SL 136.68 -35 Sep 8 buy USD/CHF 1.2406 TP 1.2460 +0 Sep 8 sell EUR/USD 1.2439 TP 1.2385 +0 Sep 9 buy USD/CHF 124.28 SL 1.2398 -30 Sep 9 sell GBP/USD 1.8389 TP 18340 +49 Sep 9 sell EUR/USD 1.2440 TP 1.2390 +50 Sep 9 buy USD/JPY 110.45 SL 110.06 -39 /-22
Sep 12th-16th/05
Sep 12 buy USD/CHF 1.2494 TP 1.2545+ 51Sep 12 sell USD/JPY 109.68 SL 110.10 - 42Sep 12 sell USD/CAD 1.1852 TP 1.1810 +42 Sep 14 sell GBP/USD 1.8269 TP 1.8225 +44 Sep 14 buy USD/CHF 1.2579 TP 1.2540 +0 Sep 15 sell GBP/USD 1.8159 SL 1.8120 -39 Sep 15 buy USD/JPY 110.34 TP 110.80 +46 Sep 16 buy USD/CHF 1.2609 TP 1.2650 +41 Sep 16 sell GBP/USD 1.8134 TP 1.8085 +49 /+192
Sep 19th-23rd/05
Sep 19 buy GBP/USD 1.7991 TP 1.8035+44 Sep 19 sell EUR/USD 1.2109 TP 1.2155 +4 6Sep 20 sell EUR/USD 1.2171 TP 1.2120 +51 Sep 20 buy USD/CHF 1.2751 TP 1.2810 +0 Sep 21 buy USD/CHF 1.2728 SL 1.2690 -3 8Sep 21 buy USD/JPY 111.52 SL 111.15 -37 Sep 21 buy EUR/JPY 136.01 TP 136.45 +44 Sep 22 sell USD/CHF 1.2709 SL 1.2745 -36 Sep 23 buy EUR/USD 1.2125 TP 1.2170 +0 Sep 23 sell USD/JPY 111.74 TP 111.25 +49 /+123
Sep 26th-30th/05
Sep 26 sell EUR/USD 1.2040 TP 1.1995 +45 Sep 26 buy USD/CHF 1.2919 TP 1.2970 +0 Sep 27 buy USD/CHF 1.2939 TP 1.2984 +45 Sep 28 buy USD/CHF 1.2931 TP 1.2975 +44 Sep 28 sell EUR/USD 1.2031 TP 1.1990 +4 1Sep 28 sell USD/CAD 1.1772 SL 1.1810 -38 Sep 29 sell EUR/USD 120.76 TP 1.2025 - not entered Sep 29 sell USD/JPY 113.10 SL 113.49 -39 Sep 30 sell GBP/USD 1.7649 SL 1.7688 -39 /+59
Total pips for month of September +396
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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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