Hi,
I am biginer and need help about my current open deal position, Now i have open 6 deal, 3 deal is BUY side and 3 deal is SELL side againest. All are EUR/USD and USD/EUR. I have invest 100$ only, now I got -230$ Open P/L balance and achieve Total balance 250$ in between my equity is very less 25$ and Margin also same. So let me know, how can i overcum this situation. How can i decrease my negative side.
Hi Raptor,
Thanks for advise but If i will choos close deal in the pool one by one, there should be a problem arise as because I have open position BUY againest SELL So If i will choose any one of them then it should be effect on equity and margin also. So how it is possible.
Thanking You
Md Imran Khan

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Hi,
I am biginer and need help about my current open deal position, Now i have open 6 deal, 3 deal is BUY side and 3 deal is SELL side againest. All are EUR/USD and USD/EUR. I have invest 100$ only, now I got -230$ Open P/L balance and achieve Total balance 250$ in between my equity is very less 25$ and Margin also same. So let me know, how can i overcum this situation. How can i decrease my negative side.
Thanking You
Imran Khan