April 2014

Here are possible trades in April. As I was in my round the world trip I could not trade every day, but if I would the result would be next:

Total trading days = 22

Profit = 140 pips

Additionally, if I would use Fibonacci, trailing stop, and trade news, I could make more profit: 160 pips

Loss = 0 (possibly 20-50, there were 2 unsuccessful days)

Summary = 300 pips (with loss, possibly between 280 - 250 pips)

01.04.14 Profit = 10
02.04.14 Profit = 10-20
03.04.14 Profit = 10-30  ECB
04.04.14 Profit = 10 Nonfarm
07.04.14 Profit = 10
08.04.14 Profit = 10-40
09.04.14 Profit = 10 + 10-30 FOMC
10.04.14 Profit = 10-20
11.04.14 NoProfit = 00 or - 20
14.04.14 00
15.04.14 NoProfit = 00 or - 30
16.04.14 Profit = 10
17.04.14 00
18.04.14 00
21.04.14 00
22.04.14 Profit = 10
23.04.14 00
24.04.14 00
25.04.14 00
28.04.14 Profit = 10-20
29.04.14 Profit = 10
30.04.14 Profit = 20


01.04.14_10

02.04.14_10-20

03.04.14_10-30

07.04.14_10

08.04.14_10-40

09.04.14 _ 10 +10-40

09.04.14_fibbonachi FOMC news profit

10.04.14_10-20

Here could be loss - 20 pips if we would close manually, or may be less.

11.04.14_00

Here could be loss - 30 pips, if we would leave the trades and wait it close it selves,  or could be less or - 00, if we would watch the market and analyze the situation at that time.

15.04.14_ 00 - -30 example of fib and exit at 00

16.04.14_10 with fib

22.04.14_10

28.04.14_10-20 with fib

29.04.14_10 with fib

30.04.14_10-20

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