Fortune Trading Journal - page 4

 

Extend the T.P. of GBP/CHF to 1.6190

 

Close the trade od GBP/CHF at 1.6283

 

Go long on GBP/CHF at 1.6310 and exit at 1.6354

 

Close the GBP/CHF trade at 1.6345

 

So it's time to assess all the trades of this week.

For Tuesday, i was profitable of 105 pips excluding spreads.

For Wednesday, i was profitable of 57 pips excluding spreads.

For Thursday, i was profitable of 50 pips excluding spreads.

For Friday, i was profitable of 187 pips excluding spreads.

Nearly 400 pips for this week (100 pips a day in average), not bad at all, and i missed many other profitable trades.

See you next week.

Good pips.

 

I'm posting here each trade, from First trade to the last one, where i entered and i exited.

For Tuesday, the trades were :

1/Go short on EUR/USD at 1.3636 and exit at 1.3560 for T.P. and 1.3690 for S.L.

T.P. reached, profit of 76 pips - 2 pips spread = +74 pips

2/Go short on EUR/JPY at 133.38, exit at 133.05 for T.P. and 134.15 for S.L.

T.P. reached, profit of 33 pips - 2 pips spread = +31 pips

For Tuesday (First day): profit of 105 pips.

For Wednesday, the trades were :

1/Go short on EUR/USD at 1.3470 and exit at 1.3435

T.P. reached, profit of 35 pips - 2 pips spread = +33 pips

2/Go short on GBP/USD at 1.4870 and exit at 1.4825

T.P. reached, profit of 45 pips - 3 pips spread = +42 pips

3/Go long on EUR/AUD at 1.9360, T.P. at 1.9390

T.P. reached, profit of 30 pips - 6 pips spread = +24 pips

4/Go long on EUR/USD at 1.3510 and exit at 1.3540

I closed the trade of EUR/USD at 1.3470, a loss of 40pips + 2 spread pips= -42 pips

33+42+24-42=57 pips

For Wednesday (Second day): profit of 57 pips.

For Thursday, the trades were :

1/Go short on GBP/AUD at 2.0825 and exit at 2.0750 for T.P. and 2.0915 for S.L.

T.P. reached, profit of 85 pips - 6 pips spread = +79 pips

2/Go long on GBP/CHF at 1.6405 and exit at 1.6462 for T.P. and 1.6322 for S.L.

I Closed the GBP/CHF trade at 1.6360 a loss of 45 pips + 6 spread pips = -51 pips

3/Go short on GBP/CAD at 1.7916 and exit at 1.7860 for T.P. and 1.7999 for S.L.

I Extended the T.P. of GBP/CAD to 1.7839

T.P. reached, profit of 77 pips - 6 pips spread = +71 pips

4/Go short on EUR/USD at 1.3570 and exit at 1.3535

I closed the trade of EUR/USD at 1.3619, a loss of 49pips + 2 spread pips= -51 pips

5/Go short on GBP/USD at 1.4566 and exit at 1.4516 and S.L. at 1.4636

T.P. reached, profit of 50 pips - 3 pips spread = +47 pips

6/Go long on EUR/USD at 1.3619 and exit at 1.3645

I closed the trade of EUR/USD at 1.3547, a loss of 72pips + 2 spread pips= -74 pips

7/Go long on USD/JPY at 98.60 and Exit at 98.87

I closed the USD/JPY trade at 98.56, a loss of 4 pips + 2 spread pips= -6 pips

8/Go long on USD/CHF at 1.2185 and Exit at 1.1315

I closed the USD/CHF trade at 1.2170, a loss of 15 pips + 3 spread pips= -18 pips

9/Go short on GBP/JPY at 142.66 and exit at 142.10 and S.L. at 143.56

T.P. reached, profit of 56 pips - 7 pips spread = +49 pips

10/Go short on EUR/JPY at 133.30

I closed the EUR/JPY trade at 133.35, a loss of 5 pips + 2 spread pips= -7 pips

79-51+71-51+47-74-6-18+49-7=39 pips

For Thursday (Third day): profit of 39 pips. ( i missed to put here a profitable trade on EUR/JPY that made 11 pips, spread excluded)

For Friday, the trades were :

1/Go short on GBP/CHF at 1.6257 and exit at 1.6225

I closed the trade of GBP/CHF at 1.6283, a loss of 26 pips + 6 spread pips= -32 pips

2/Go short on GBP/USD at 1.4441 and exit at 1.4400

I Extended the T.P. of GBP/USD to 1.4396 and was reached

T.P. reached, profit of 45 pips - 3 pips spread = +42 pips

3/Go short on EUR/USD at 1.3549 and exit at 1.3519

T.P. reached, profit of 30 pips - 2 pips spread = +28 pips

4/Go short on GBP/AUD at 2.0635

I Exited from GBP/AUD trade at 2.0550

T.P. reached, profit of 85 pips - 7 pips spread = +78 pips

5/Go short on EUR/AUD at 1.9357

I Exited from EUR/AUD trade at 1.9317

T.P. reached, profit of 40 pips - 6 pips spread = +34 pips

6/Go short on EUR/CAD at 1.6644 ans exit at 1.6611

T.P. reached, profit of 33 pips - 6 pips spread = +27 pips

7/Go long on GBP/CHF at 1.6307 and exit at 1.6354

I closed the trade of GBP/CHF at 1.6345, a profit of 38 pips - 6 spread pips= +32 pips

-32+42+28+78+34+27+32=57 pips

For Friday (Forth day): profit of 209 pips.

So, for this week 105+57+39+209= 410 pips (102/day in average)

Hope this help.

See you next week.

 

Hi everyone,

I'm posting here some missed trades (for Friday and today) due to different reasons (not paying very much attention or waking up too late)

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Go long on GBP/USD at 1.4198 and exit at 1.4240

 

Go long on GBP/JPY at 137.69 and exit at 138.22

 

Extend the T.P. of GBP/JPY to 138.34

Reason: