Hello!

Signal is based on technical indicators mainly FIBS retrace/extension along with major macro-economics fundamentals including GDP,inflation ,employment,manufacturing and industrial sector production and CB's monitory policy decisions such as QE and short term interest rate.


MINIMUM REQUIREMENTS/EXPECTED DD :

Expected DD : 0-35%

Minimum Requirement(balance) : 60% of signal balance


RISK DIVISION AND MONEY MANAGEMENT :


Signal does not use FULL LOT at once,I like to divide risk %age on 10 trades rather than 1 trade.
For example, If i open 0.10 Lot BUY trade on eurusd at 1.1200 ,the problem is i am out of option after that.WHAT IF I AM WRONG AT 1.1200 BUY TRADE?
i cannot add any other trade for buying eurusd again (risk increases ).
Now if i open 0.01 Lot trade at 1.1200 and if i am wrong about the low ,the price moves downward against me,i have 9 possibilites/opportunities to add 9 more 0.01 lot trades at some better prices.
For example ,If 100 pips goes against me with 0.10 LOT,i have a floating loss of 100$ ( approx 10% of account),If 100 pips goes against me with 0.01 LOT ,i have a loss of 10$ ( less than 1% of account).
Now at 100pips difference it would add more risk and tension using 0.10 LOt,because what if price goes another 100 pips down?????? risk increased significantly higher ,this problem doesn't happens with 0.01 lot trade in which case at 200pips negative you one would still be losing 2% of account instead of 20%.(Assumption of 1 trade at any time of lot 0.1)
  • 成长
  • 净值
  • 结余
  • 风险
  • 分配
  • 滑移
  • 评论 (33)
  • 有什么新闻吗?
1月
2月
3月
4月
5月
6月
7月
8月
9月
10月
11月
12月
YTD
共计:
交易: 1 484
盈利交易: 1 412 (95.14%)
亏损交易: 72 (4.85%)
最好交易: 708.44 USD
最差交易: -178.00 USD
毛利: 25 116.10 USD (68 061 pips)
毛利亏损: -2 693.68 USD (11 364 pips)
最大连续赢利: 273 (947.48 USD)
最大连续盈利: 13 546.33 USD (54)
夏普比率: 0.40
交易活动: 99.28%
最大入金加载: 17.22%
采收率: 29.04
长期交易: 602 (40.57%)
短期交易: 882 (59.43%)
利润因子: 9.32
预期回报: 15.11 USD
平均利润: 17.79 USD
平均损失: -37.41 USD
最大连续失误: 14 (-743.80 USD)
最大连续亏损: -743.80 USD (14)
每月增长: 5.81%
年度预测: 70.51%
最好交易: 708.44 USD
最大连续赢利: 273 (947.48 USD)
最大连续盈利: 13 546.33 USD (54)
最差交易: -178.00 USD
最大连续失误: 14 (-743.80 USD)
最大连续亏损: -743.80 USD (14)
结余跌幅:
绝对: 0.00 USD
最大值: 772.25 USD (10.40%)
相对跌幅:
结余: 12.20% (772.25 USD)
净值: 49.21% (2 834.76 USD)

MFE和 MAE分布点图

在使用期内为每个持仓订单记录最大利润(MFE)值和最大亏损(MAE)值。这些参数使用最大未实现的潜在值和最大容许风险额外表现每个平仓订单。MFE/利润和MAE/利润分布图显示每个订单为沿X轴绘制的收到利润/亏损值的一个点,而潜在利润(MFE)和潜在亏损(MAE)的最大显示值则是沿Y轴绘制。

无数据
无数据

将光标放在参数/图说明上可以看到最佳和最糟的交易系列。在文章交易中的数学:如何评估交易结果中了解更多有关MAE和MFE分布的信息。

交易品种 交易 Sell Buy
EURUSD 475
GBPUSD 265
USDJPY 251
USDCHF 155
NZDUSD 118
AUDUSD 116
USDCAD 83
EURGBP 19
XAUUSD 2
100200300400500
100200300400500
100200300400500

基于有关不同交易商真实账户的执行统计的平均滑移点按点数指定。它取决于 RoboForex-FixCent 提供商以及订阅者之间不同的报价,以及订单执行的延迟。值越低意味着复制的质量越高。

TenkoFX-Real
0.00 × 4
Lucrorfx-Live
0.00 × 4
MaxiMarkets-Maxi Services
0.00 × 2
XMUK-Real 3
0.00 × 2
OctaFX-Demo
0.00 × 20
XMUK-Real 15
0.00 × 3
TMS-Demo
0.00 × 1
FXCP-MT4
0.00 × 1
XMUK-Real 2
0.00 × 2
Alpari-ECN-Live
0.00 × 23
Youtradefx-Demo
0.00 × 1
LCG-Live2
0.00 × 9
OANDA-GMT-5 Live
0.00 × 16
EmperorFinancial-Live
0.00 × 10
ITC-Real
0.00 × 12
RPDFX-Live Server
0.00 × 9
PrimusMarkets-Live-3
0.00 × 10
IronFX-Real13
0.00 × 3
WealthTrade-Demo 3
0.00 × 16
TurnkeyFX-Live
0.00 × 25
AM-UK-Live2
0.00 × 8
CoreLiquidity-Real 1
0.00 × 6
Huge-Live
0.00 × 1
TradeWise-LiveUS
0.00 × 2
AdvancedMarkets-Live
0.00 × 8
397 更多... 查看详细统计,请 登录 或者 注册
平均等级:
Zhiming Zhou
545
2017.01.12 17:49  (已更改2017.01.12 17:50) 
 

从没见过这么不负责任的信号,一句提醒也没有,自己通过不断入金位置早就爆仓的仓位,竟然在收益率曲线、净值曲线、看不出什么缺陷来,跟随信号的人早已损失了全部的资金,他尽然还活着,简直就是欺诈,一个完美的陷阱,毫无技术含量。

WLL
311
2017.01.11 11:00  (已更改2017.01.11 22:08) 
 

Overall pretty good results,

BUT

DD from 0% to 40% in 1 day is just way too risky. No SL and some trades are still running since June 2016...

Missed out a good chance to close ALL trades with overall profit on Friday and Monday.

No answer on several messages about strategy and the fact that trading style (big lots instead of small lots) has changed without any explanation. So in the end I am a little disappointed.

If there is no view on market by signal provider for subscribers, then I am out... Thanks for the ride, been a subscriber since april for Cracker, Hybrid and Aggressive.

Update: I hope subscribers survived the ride after Trump's speech. Signal would have had over 75% DD if the signal provider didn't make a deposit of 6k and almost doubling the balance.

Md Abdullah Al Mamun
421
2017.01.11 02:19 
 

some of my trades had been closed automatically in a big loss and the broker mentioned about the signal provider and his ip as well

moonsky
166
2017.01.02 14:18   

too risk

fabiodegaetano
336
2016.12.26 15:11   

same thing happened to me...

USDJPY loss of 18,42 EUR at 00:32

EURUSD loss of 12,19 EUR at 00:04

EURUSD loss of 10,59 EUR at 00:04

EURUSD loss of 2,62 EUR at 00:04

EURUSD loss of 0,94 EUR at 00:36

EURUSD loss of 0,94 EUR at 00:36

totl loss: 44,92 EUR, and NO SIGN of any trade on F Cracker trade page!!

what happened, is there a fault somewere? if yes is anybody going to refund?

thanks

Cuong Pham Vu Kien
557
2016.12.26 11:21   

I do not know the data were manipulated or not, but I see at 26/12/2016 0:02 minutes 2 EURUSD trades closed with tp. Now, I do not see these in MQL5 history. Someone would explain to me that possible?

500109216
38
2016.12.15 08:12  (已更改2016.12.22 16:12) 
 

最近很不理智,亏损严重,放大仓位来弥补损失是不明智的。

skymoon
45
2016.11.28 16:03 
 

No stop loss. Bag signal.

kekegoon
397
2016.10.30 22:24 
 

用户没有留下任何评级信息

tessarivera29
21
2016.10.16 19:35 
 

用户没有留下任何评级信息

dayneramsey
1149
2016.10.07 22:46  (已更改2017.03.04 05:23) 
 

Signal provider has lost it, depositing time and time again huge amounts to protect himself from liquidation. Resulting in subscriber positions being closed at loss due to mt4 automated risk ratio adjustment. Can be profitable but is loose, does not communicate with subscribers and does not care. will most likely result in loss with this signal.

Robin Farr
197
2016.10.07 17:07 
 

In response to your query about the four GBPUSD trades ...

I have two subscriptions to your signal, with different broker accounts. On one account, I made good money - bought four positions around 1.22290 and sold around 1.23972. On second account bought four lots around 1.25701 (orders placed at EXACTLY the same time as other account orders) and sold around 1.23965 - so made a loss on these. Overall, a good profit though.

I think quotes & spreads went a bit hay-wire last night - I usually get very similar quote from both brokers - so this was a one-off (or at least I hope so :-)) ...

BTW - Many thanks for your signal - I've made good money from my subs over the past few months

Best wishes

Sandman24
196
2016.09.08 06:48 
 

用户没有留下任何评级信息

Zhaofeng He
341
2016.08.17 21:09  (已更改2016.09.19 13:52) 
 

他是一个能听从意见的人,我很赞赏他的态度。

R_malhas
376
2016.08.15 08:58 
 

用户没有留下任何评级信息

kill731
120
2016.06.16 12:23  (已更改2016.06.23 05:51)   

Yesterday to today, I tried to hand communication, has not seen the reply, do not know is not to see, what is the reason. After all, this time is very critical.

svtea
484
2016.06.04 10:09 
 

I have been following multiple signals in MQL5 now but mr Shoaib has very very good results. I started 19-4 with 3000 euro and my balance is now 4800 euro. All trades are small (low-risk) sized trades. So my experience till now is perfect.

Dmitry Kravchenko
228
2016.05.17 09:23 
 

Good results!

Julie Sabella
108
2016.05.03 19:38  (已更改2016.05.03 19:48) 
 

best experience magin call N stop out,ala wasfo,TQ

best of the best

zetsuei56
112
2016.05.03 12:34  (已更改2016.05.05 10:52) 
 

Thank you

But DD 45% is scary

2016.12.08 15:45 2016.12.08 15:45:20 

Hello!

Back to eurusd ,ECB flopped ,didn't meet market expectation of tapering.IF FED doesn't flop in next meeting ,we might hit parity in eurusd in early 2017.So i'm trading expectation in eurusd and trading it heavily and will continue to add trades on every bounce till fed.If fed hiked and hinted on rapid pace of hikes in 2017(via inflation) ,we will be on our way and might be able to get out of all trades in late January to early feb.

Best Regards,

M Shoaib

2016.11.09 14:23 2016.11.09 14:23:19 

Hello!

At last the most unexpected event became reality.This changes everything on mid and long term for US economy and hence the USD.

Free market at risks ,8 years of US equities progress is at risk going down the flush.

I have to re-evaluate the market ,short term is zig-zag.

Deposits were made to save everyone on full blown risk on move(which didn't happened).And not expected now.

I would need this week to see what is expected through Republican economic policies.

2016.10.11 17:03 2016.10.11 17:03:09 

Hello!

After assessment ,i have decided to make lot size variable.From now on it will vary between 0.01-0.02 .

Reason:

At 0.01 lot i strive to get at least 30 pips to make 3$/trade.

> I can't scalp with 0.01 due to higher need of pips in number.

> 0.02 will allow us to make 3$/trade on average of 15 pips rather than 30 pips.

> There is so many times when waiting for 30 pips resulted in missing the target with 1-3 pips and gets back to break even or in loss.

> The average duration of open trade is increasing day to day resulting in extra swap fees.

Hope most of you will agree on this small change.

Best Regards

M Shoaib

2016.10.07 11:59 2016.10.07 11:59:14 

Hello!

I don't have any idea how the 4 buy trades on GBPUSD pan out for every subscriber because i haven't got a SINGLE response from any of 95 people copying trades.So if someone is reading this please let me know.

Apart from yesterday withdrawal we will make another withdrawal at the end of this month or in the first week of November.

Best Regards

M Shoaib

2016.10.06 19:10 2016.10.06 19:10:18 

Hello!

A withdrawal has been made from signal account.Please re-adjust your balances or make a withdrawal in equivalent amount according to your own account balance.

Best Regards

M Shoaib

2016.09.26 16:57 2016.09.26 16:57:30 

Important : Trading from 27th sep to 30 sep will have a slight change.Short term trades will be initiated with lot size from 0.02 to a maximum of 0.05

This change will be stopped on Friday at market closing time. Normal trading will resume from Monday, 3rd October, 2016.

2016.08.30 17:24 2016.08.30 17:24:18 

Hello!

There has been some speculation if i have strengthen my attention towards other signals.This is not true.

I'm waiting for the old trades to gets closed as market is currently in our favor.

The Reason behind low gain and less profit this month is because of market conditions,uncertainty(resulted in less trades) and waiting for Yellen speech in Jackson hole( 26-aug-2016) to confirm hawkish/dovish tone for September hike.

As soon as i get good entries i will start taking trades and with time when uncertainty faints and choppy market condition diminishes the %gain/profit will start increasing.

Right now technical are not that hard to trade but fundamentals are very messy with coming NFP,ECB and FED combo ,if stuck in wrong direction could result in a very uncomfortable situation.So please have a little more patience.

Thanks for understanding.

Best Regards

M Shoaib

2016.08.18 06:43 2016.08.18 06:43:58 

Hello!

Yesterday FOMC meeting was NOT dollar bearish.Inflation ok,employment ok,unemployment ok,GDP slight miss.More committee members shifted toward rate hike.

A brief review of current traded currencies.

EURO : Resistance(proven) ranging from 1.134x - 1.141x

YEN : Important level of 99.3x support (BREXIT low).

NZD : Approaching 50% Fib retrace on monthly(bias short)

CHF : .95xx is very strong support for usdchf for a test of .98xx with extension to 100.1x

USD : 94.2x with ext 93.6x strong support.

Questions Related IF the trading technique/strategy has been changed lately is NOT the case.The reason for NOT closing YEN trades at 101.1x handle was because i was not expecting a retest of 99.8x after 99.7x low.I'm aiming much higher on yen from 105-109.9x.Its the only reason for holding yen trades.As for NZD is concerned ,FUTURE RATE CUT BY RBNZ this year alone is expected to be 1.5% at the year end.

Rate cut for NZD > weaker NZD > NZDUSD falls.

Today london session is very important as it will reveal if they will give further ext. to dollar losses and if this is not the case i expect sharp rebounds on all dollar crosses ,especially YEN.

Best Regards

M Shoaib

2016.07.29 14:15 2016.07.29 14:15:50 

Hello!

Entering in Mid term trading mode.Trades on EURUSD,USDCHF and GBPUSD might be held for a period of 1-2 weeks.

Further trades will be very careful as market approaching month end.

Every necessary steps/trades will be taken in case of growing DD.Waiting for US advanced GDP result for further action.

If any update is required ,it will be done after London close.

Good luck All.

Best Regards

M Shoaib

2016.07.20 12:47 2016.07.20 12:47:41 

Hello!

There is nothing to update about yet Except ECB tomorrow.Technically 1.1 is mild support on EURUSD so a little buying is undergoing prior to ECB monitory policy and rate decision.Expecting everyone to be doing fine and good.

Good luck All.Have a nice day.

Best Regards

M Shoaib

2016.07.09 06:01 2016.07.09 06:01:07 

Hello!

There is growing tension regarding NZD dominated trades.

First ,USD has upper hand in current market statistics.

Second,Despite crude weakness NZD is not showing weakness which i believe will feel its pressure in near future.

Third,Future RBNZ rate cuts will soon be priced in,resulting in the weakness of NZD.

The current strength of NZD I believe is via Brexit which will be short lived.

Yesterday NFP data was solid,despite negative revision.So i expect NZD to retreat as early as monday coming week and slso expecting USD index to strengthen targeting 100.xx minimum.

Despite these facts/analysis further trades on NZD might be halted in short term.Further trades will be carried out on EURUSD pair as early as next week.

Thank you.

Best Regards

M Shoaib

2016.06.24 00:11 2016.06.24 00:11:36 

Hello!

Normal trading will be resumed on Friday London opening.

Good luck all.

Best Regards

M Shoaib

2016.06.23 12:44 2016.06.23 12:44:52 

Hello!

Due to several requests to NOT to trade brexit, i have to close EURUSD trades.Which i wanted to keep for 1.17 test.Any way,done for the day.

Good luck All.

Best Regards

M Shoaib

2016.06.17 20:44 2016.06.17 20:44:45 

Hello!

This is a update related to Brexit.No GBP dominated pair will be traded from 20/June/2016 to 25/June/2016.

All other major pairs will be traded before and after Brexit normally.NO trading on 23/June/2016.

ALL the pending on GBP dominated pairs are moved to several thousand pips for safety reasons.

Have a good weekend.

Best Regards

M Shoaib

2016.06.16 18:49 2016.06.16 18:49:04 

Hello!

Very frustrating day for all the subscribers along with me.A small mistake of not looking at the lot size resulted in the catastrophic event with horrible draw-down,frustration ,anger and worries all day.I don't know how many were off the minimum requirements who suffered heavy losses.I'm Really sorry for those.

Poorest R:R in this draw-down yet(not finished yet but according to current data it might be "1:0.10" (risk:reward),meaning risking 1000$ for a reward of 100$,which is very unprofessional ,stupid and horrible).

As expected EURUSD made a temporarily bottom and the only good thing that happened today is we all didn't suffered being stuck with a hedge trade.We are still 100 pips away from 0.25 trade to get closed in small loss or in profit if market allows.

1.1280 is hard resistance pre-brexit.Another test of that level will result in closing of tat very bad trade.

For now things appeared to be okay.We will deal accordingly to market conditions,I appreciate your patience.

In last i apologize for my stupidity,nonprofessional behavior(over trading) and mistake i made.

Good luck all.

Best Regards

M Shoaib

2016.06.16 15:52 2016.06.16 15:52:57 

Hello!

I think EU might be bottoming,so i cannot hedge right now in fear of locking away half the loss in hedge for a very long time

second is yesterday fomc was dovish along with today's weaker inflation data ,so with these facts EU should be either bottoming or about to rise on a short term time frame. Also i think brexit is having its effects started on European currencies.Any way i'm still not decided yet to whether hedge the trade or not.

I will write/explain any action i take for 0.25 lot trade.

Good Luck

Best Regards

M Shoaib

2016.06.16 11:19 2016.06.16 11:19:37 

Hello!

0.25 lot size BUY trade was opened by mistake and before I noticed it ,it was too late.That trade might be get hedged/re-hedged several times.

Best Regards

M Shoaib

2016.06.15 19:50 2016.06.15 19:50:32 

Hello!

Better to ACT after the FACTS.Bulk of trades expected after FOMC rate decision and Press Conference.Good luck all.

Best Regards

M Shoaib

2016.06.09 19:09 2016.06.09 19:09:55 

Hello!

Recent trades on NZD were due to fundamental reasons,that is expectation of rate cut by RBNZ.Which didn't happened and RBNZ maintained the rate at 2.25 %.

Another fundamental reason for the rising of NZD is crude related.NZD,CAD and AUD are crude sensitive currency and effects them in short term.

Now current situation on NZD is a little messy(doesn't change mid and long term bias of SHORT on NZD).

There are 11 short trades on NZDUSD with still some pending shorts till 0.723x .Now before .719x or .723x happens a pullback towards .691x would be NORMAL,but the problem is next week's FOMC rate decision.(I'll update regarding trading that rate decision or not prior to the meeting).

I would want to hold these nzd short trades for .674x for maximum profit but due to the FOMC meeting ahead i'm looking to close as much trades as market allows and trade AFTER the FOMC decisions(a rather clear direction and perspective).

The update is actually for the subscribers who have joined recently ,to tell them to please meet the minimum requirement of 70% of signal balance as mentioned in the signal description.70% of 1904$ is 1330$.or else join when a withdrawal is made from the signal account to reduce the minimum balance.

Best Regards

M Shoaib

2016.06.07 17:34 2016.06.07 17:34:52 

Price will be moved to 25$/month tomorrow 10 PM(GMT +5).

Best Regards

M Shoaib

2016.06.01 05:03 2016.06.01 05:03:29 

Hello!

Number of trades may gets reduced this week as there is lot of noise via ECB rate/monitory decision and NFP. That doesn't mean NO trading at all.Trades will be taken where necessary or having low risk.

Best Regards

M Shoaib

2016.05.31 19:37 2016.05.31 19:37:38 

Due to open trades i am not making a withdrawal ,as soon as the open trades are closed withdrawal will be made and the signal will start again with 1440$ balance.

Best Regards

M Shoaib

2016.05.11 08:46 2016.05.11 08:46:59 

Hello!

From now on i will make withdrawals after every 250$ of profit and will start again with a balance of 1440$.I advise you to do the same.

Best regards

M Shoaib

2016.04.29 15:15 2016.04.29 15:15:26 

Hello!

Sorry for no update recently.I have been in hospital with a patient in ICU.As it was an emergency i had very short time to look upon market and trade.Some trades turned in profits but because of no constant monitoring stopped or turned negative after profit.

Everyone is worried about ucad trades.According to my analysis its in correction mode before further upside towards ALL TIME HIGH.Crude is also making a correction and that won't be for long.

Beside USDCAD trades other majors that involving USDXXX or XXXUSD pairs being traded right now.According my analysis USD INDEX is around its very strong support from 92.5x-93.5x (TRIPPLE BOTTOM).

Best regards

2016.04.22 14:57 2016.04.22 14:57:44 

Strong inflation data.

1.2659 is the key support for short term.With crude rising again if 1.2659 is broken we may head for a LL.But the good news is that AUD is showing weakness.UCAD may gain with AU falling via strong dollar so DD will be controllable/bearable.

Best Regards

2016.04.22 12:29 2016.04.22 12:29:20 

Hello!

DD much better.ECB conference was nicely traded.Crude also stopped making HH's.But today Canada will release inflation data.Now crude has been rising since February,a Flop in inflation will trigger massive move up on uusdcad because despite crude gains no improvement in inflation.

On the other hand if inflation data is better than forecast i believe won't effect the pair much because of the market sentient about crude gains and its effect on Canada inflation(Crude has direct effects on Canada inflation as well on the CAD). In short that move down may already be priced in.

Whatever the case we will know for sure in 2 hours.Good luck All.

Best Regards

2016.04.20 15:54 2016.04.20 15:54:59 

I forgot about crude oil update.Kuwait oil production has started again to full capacity.Moreover,about 40 minutes later US crude inventories data will be released,If the output is higher ,crude will get hammered as USD index strengthening already.Whatever the case ,we will know for sure in few minutes.

2016.04.20 15:37 2016.04.20 15:37:35 

Hello!

A lot of subscribers are worried sick regarding tomorrow ECB rate decision.ECB has already mentioned/stated it monetary policy measures/actions in previous meeting.Tomorrow ECB most probably will be a NON-EVENT.

Secondly,There are 4 trades on EURUSD pair.ECB will most likely effect EURO.We have more trades on other pairs that has none or negligible effect on those pairs as AU,UCAD.

About the fact the DD isn't improving,I believe that might improve today,as USD index is getting strength ,as i'm typing this update,it already have made a HH on H1 frame.dollar was on sell off mode since the start of the week,I'm expecting a mid-week reversal starting today.Direction will get cleared in few hours.I'll update again at London roll.

Best Regards

2016.04.19 07:43 2016.04.19 07:43:11 

Hello!

Current open trades on USDCAD,AUDUSD and NZDUSD are based on Fundamental reasons.Doha oil agreement failure will kick start a short term sell off on oil.Right now the sell off might have halted because of kuwait oil worker strike,which is affecting the oil production for now.

Technically,crude filled the gap.gaps often turns int support/resistance.Its a matter of time now.And we will be able to make pretty good profit on these trades in few days.

Best Regards

2016.04.07 18:26 2016.04.07 18:26:18 

Just a reminder that i do not hold trades only in loss for greater than 200 pips, I have held trades for more than 300 pips in profit.History can prove it.

Another matter,Holding these trades and waiting for them to turn green or DD improves is not a solution.You people are not paying me to make you wait on losing trades.So, i will be taking any trade at any better level on any pair.This will help not only in improving DD but also we won't miss better entries because of bad entries.So the ONLY new update is that I will take new trades if my analysis tells me to.

Good luck

Best regards

M Shoaib

2016.04.07 10:30 2016.04.07 10:30:11 

Hello!

As the draw down is not stable and also its complex market right now,EU and UJ are in sync,both going down at the same time.So I'll not enter any more trades for the next 24 hours.

EURGBP: The current trades are the last trades,eurusd tripped stops at new high,so i pretty sure the high it made on eurgbp will hold.No further trades will be open on the pair below .8210

USDJPY : Usdjpy is going down without much retrace.The buys were open to get that retrace.With eurusd peaked UJ may get the bounce we need.But as already mentioned its complex market where eurusd and usdjpy are both going the same direction.No further trades on pair above 107.80

GBPUSD: It made a LL yesterday with better bounce but we messed up timing with that bounce and missed some good profit.Signal trades on GBP effect both GBPUSD and EURGBP.on eurgbp we i believe have got the high.On gbpusd i think 1.4 is pretty strong support.If tested again i will open new longs below 1.3960.

Draw-downs are the part of trading.What matter is how one manage those DD's.I'm monitoring market every minute.And i'm doing the best i can to make this DD vanish or fade and to get some profits too.I'm haven't lost my patience yet neither control over market.Hoping for the best.

Good luck

Regards

M Shoaib

2016.04.06 16:49 2016.04.06 16:49:52 

I am missing good opportunities because i'm already in loss,more trades will make MM from bad to worse,so please be patience.i believe the low on gu and and high on EG is done for today.

What's left for today is FOMC after 3 hours.

I can't sell GU here,at these lows anyway,so if FOMC turn out to be hawkish i'll sell eurusd and buy UJ.i won't trade any other pair.I have two pending buys on UCAD in case if fed is dovish.

IF Fed is dovish,we already have trades against USD,so we may not require any more trades.Given a chance UJ trades may be closed before feds.

Good luck

Regards

M Shoaib

2016.03.31 08:21 2016.03.31 08:21:47 

One section updated and one new added.Please have a read of signal description.

Thank you

Regards

M Shoaib

2016.03.21 13:21 2016.03.21 13:21:58 

The subscribers or any visitors can join this skype group to be in touch regularly or to track trading activity of this signal.

You can enjoy answering of your question/queries/suggestions instantly.

https://join.skype.com/SN3odSsXbMin

Regards

M Shoaib

查看详细统计,请 登录 或者 注册