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Rain's Quote

My first interaction with forex was GBP/JPY, but more deep involved with forex, I learn that it's not about how you make a lot of profit, it's not about how fast you will gaining hundreds of pips. It's all about how you dealing with your psychological factors, how you manage your risk and stabilize your profit. It's true that GBP/JPY could give you hundreds of pips in an hour or less but it could take your all margin either.A fiew month ago, I decided reduce my trade in GBP/JPY and try to play in EUR/USD,It's hard time when I must learn new behaviour becouse trading in EUR/USD is not same thing dealing with GBP/JPY. EUR/USD has own rhythm. Based on that I decided to make this blog, I want to share with everyone about my journey to change my behaviour and I hope,you can feel the same thing, that it's not too late to learn something new and there is always new things to learn in forex market. Don't stop learn,once you stop it is same thing that you are dead. There is a lot thing I want to write but my limitation in english make it hard to me to wrtite, but I don't want give up. I believe, someday english would not be my constraints to write and share with you. My motto : Learn First, Wealth Will Follow.
Showing posts with label My Trading Result. Show all posts
Showing posts with label My Trading Result. Show all posts

Monday, September 7, 2009

Summary of Trading Results September 2009 ( Eur/ USD )

*Day 1, Date : September 03, 2009 : Buy EUR/USD  on market price at 1.4276, Target Hit at 1.4326.
Result: Profit : 50 pips


*Day 2, Date : September 07, 2009 : Buy EUR/USD  on market price at 1.4324, Target Hit at 1.4404
Result: Profit : 80 pips


*Day 3, Date : September 09, 2009 : Buy EUR/USD  on market price at 1.4498, Target Hit at 1.4568
Result: Profit : 70 pips


*Day 4, Date : September 10, 2009 : Buy EUR/USD  on market price at 1.4572, Stop Loss hit at at 1.4532
Result: Loss: 40 pips


*Day 5, Date : September 14, 2009 : Buy EUR/USD  on market price at 1.4549, Target  hit at at 1.4700
Result: Profit : 151 pips

*Day 6, Date : September 18, 2009 : Buy EUR/USD  on market price at 1.4706, SL hit at at 1.4680
Result:Loss : 26 pips


*Day 7, Date : September 28, 2009 : Sell EUR/USD  on market price at 1.4632, SL hit at 1.4658
Result:Loss : 26 pips


*Day 8, Date : September 29, 2009 : Sell EUR/USD  on market price at 1.4625, Target hit at  1.4545
Result: Profit : 80 pips


*Day 9, Date : September 30, 2009 :
 1. Original Position Sell Limit  EUR/USD executed  at 1.4637, SL hit at  1.4660, result loss 23 pips
 2. Additional Position Sell on market price at 1.4599, SL hit at 1.4645, result loss 46 pips
Result: Loss 23 pips + 46 pips = Loss 69 pips

Total Profit/ Loss : 50 pips + 80 pip + 70 pips + ( -40 ) pips + 151 pips + (-26) pips + (-26) pips + 80 pips + (-69) pips

Monday, August 10, 2009

summary of trading results August 2009 ( Eur/ USD )

*Day 1, Date : August 06, 2009 : original position sell on market price at 1.4389, Target Hit at 1.4265.
Result: Profit : 124 pips


*Day 2, Date : August 10, 2009 : original position sell on market price at 1.4205, Hrd Exit at 1.4131.
Result: Profit : 74 pips


*Day 3, Date : August 12, 2009 : original position buy on market price at 1.4166, SL hit at 1.4102.
Result: loss : 64 pips


*Day 4, Date : August 13, 2009 : original position sell on market price at 1.4306, Trilling Stop hit at 1.4298.
Result: profit 8 pips


*Day 5, Date : August 18, 2009 : original position buy on market price at 1.4110, Target hit at 1.4167.
Result: profit 57 pips


*Day 6, Date : August 19, 2009 : original position buy stop executed at 1.4141, Target hit at 1.4200.
Result: profit 59 pips


*Day 7, Date : August 20, 2009 : original position buy on market price at 1.4218, Target(adjustment) hit at 1.4298.
Result: profit 80 pips

*Day 8, Date : August 25, 2009 : original position buy on market price at 1.4322, SL hit at  1.4282.
Result: Loss 40 pips


Total Profit/ Loss : 124 pips + 74 pips + (-64 ) pips + 8 pips + 57 pips + 59 pips + 80 pips + (-40) pips

Friday, July 3, 2009

summary of trading results July 2009 ( Eur/ USD )

*Day 1, Date : July 02, 2009 : original position sell on market price at 1.4165, TP Hit at 1.4035.Secondary position pending order (buy limit) executed, hard exit at 1.4096 (+6)
Result: Profit : 30 + 6 = 36 pips


*Day 2, Date : July 03, 2009 : Buy on market price at 1.3999, SL Hit at 1.3969
Result: Loss 30 pips


*Day 3, Date : July 08, 2009 : Sell on market price at 1.3909, TP hit at 1.3839
Result: Profit 70 pips



*Day 4, Date : July 09, 2009 : Original position Sell on market price at 1.3985, TP hit at 1.3955
Secondary position Buy Stop at 1.4015 executed target hit at 1.4045

Result: Profit 30 pips + 30 pips = 60 pips


*Day 5, Date : July 10, 2009 : Buy on market price at 1.3920, SL Hit at 1.3930
Result: profit 10 pips



*Day 6, Date : July 13, 2009 : Buy on market price at 1.3953, Target Hit at 1.4003
Result: profit 50 pips


*Day 7, Date : July 14, 2009 : Buy on market price at 1.3978, SL Hit at 1.3948
Result: loss 30 pips


*Day 8, Date : July 15, 2009 :
1.Pending order Limit Buy at 1.4020 not executed and canceled
2.Entry sell by market price at 1.4105 target hit at 1.4060
Result : profit 45 pips


*Day 9, Date : July 16, 2009 :
1.Entry Buy EUR/USD by market price at 1.4081, hard exit at 1.4146 ( profit 65 pips)
2.Entry sell by market price at 1.4130 target hit at 1.4115 (profit 15 pips)
Result : profit 65 + 15 = 80 pips


*Day 10, Date : July 17, 2009 :
1.Original order (pending order)executed, SL hit loss 40 pips
2.Secon Position entry by mrket, SL hit loss 30 puips
Result : loss 40 + 30 = 70 pips


*Day 11, Date : July 20, 2009 :
Sell on market price at 1.4167, SL hit at 1.4207 loss 40 pips
Result : loss 40 pips


*Day 12, Date : July 21, 2009 :
Buy on market price at 1.4208, SL hit at 1.4168 loss 40 pips
Result : loss 40 pips



*Day 13, Date : July 23, 2009 :
Buy on market price at 1.4244, SL hit at 1.4184 loss 50 pips
Result : loss 50 pips



*Day 14, Date : July 27, 2009 :
1.Buy on market price at 1.4216, Target hit at 1.4246 profit 30 pips
2. Second position sell limit executed, SL hit loss 30 pips
Result : Profit 30 pips - 30 pips = 0




*Day 15, Date : July 28, 2009 :
Buy on market price at 1.4187, SL hit at 1.4167 loss 20 pips
Result : loss 20 pips



*Day 16, Date : July 29, 2009 :
Buy on market price at 1.4186, cut loss
Result : loss 160 pips


*Day 17, Date : July 30, 2009 :
1.Sell EUR/USD at 1.4052, SL hit at 1.4170
2.Averaging at July 31,2009 : adding sell at 1.4147, SL hit at 1.4170
Result : loss 118 pips + 23 pips = 141 pips




TOTAL Profit/Loss : 36 pips + (-30 ) pips + 70 pips + 60 pips + 10 pips + 50 pips + ( -30 ) pips + 45 pips + 80 pips + (-70)pips + (-40) pips + (-40) pips + (-50) pips + 0 pips + (-20)pips + (-160)pips + (-141)pips

Tuesday, June 2, 2009

summary of trading results June 2009 ( Euro/ USD )

*Day 1, Date : June 1, 2009 : original position SL hit, secondary position pending order executed and SL HIT, amount loss -39 pips and -38 pips
Result: Loss 77 pips


*Day 2, Date : June 2, 2009 : Stop executed at 1.4240, Target Hit at 1.4300
Result: Profit 60 pips


*Day 3, Date : June 3, 2009 : limit executed at 1.4260, SL Hit at 1.4220
Result: Loss 40 pips


*Day 4, Date : June 4, 2009 : NO TRADE
Result: -


*Day 5, Date : June 5, 2009 : SL Hit at 1.4178
Result: Loss 25 pips


*Day 6, Date : June 9, 2009 : Limit executed SL Hit at 1.4945
Result: Loss 50 pips



*Day 7, Date : June 11, 2009 :eNTRY BY mARKET pRICE AT 1.3922, tARGET Hit at 1.4000
Result: PROFIT 78 pips


*Day 8, Date : June 12, 2009 :eNTRY BY mARKET pRICE sell at 1.4133, target hit profit : 33 pips, second position (switch buy) SL hit, loss 30 pips
Result: PROFIT 3 pips pips


*Day 9, Date : June 16, 2009 :entry by market price buy at 1.3905, SL hit Loss : 39 pips, second position not executed ( canceled)
Result: loss 39 pips pips


*Day 10, Date : June 18, 2009 :entry by market price buy at 1.3946, Target hit at 1.4000
Result: profit 54 pips pips

*Day 11, Date : June 19, 2009 :pending order executed sell at 1.3967 , SL hit at 1.3920
Result: loss 47 pips pips


*Day 12, Date : June 24, 2009 :Sell on market price at 1.4081 , target hit at 1.4041
Result: profit 40 pips


*Day 13, Date : June 25, 2009 :Sell on market price at 1.3944 ,SL hit at 1.3970
Result: Loss 26 pips pips


*Day 14, Date : June 26, 2009 :Limit executed at 1.4025, Target hit at 1.4075
Result: Profit 50 pips


*Day 15, Date : June 29, 2009 :Limit executed at 1.4015, Target hit at 1.4066
Result: Profit 51 pips



*Day 16, Date : June 30, 2009 :Buy Eur/USD at 1.4014, Target hit at 1.4054
Result: Profit 40 pips

Total Profit/ Loss : (-77) + 60 + (-40 ) + 0 + (-25) + (-50)+ 78 + 3 + (-39)+ 54 + (-47)+ 40 + (-26) + 50 + 50 + 40

Saturday, May 16, 2009

summary of trading results May 2009 ( Euro/ USD )

Monday, May 18, 2009

*Day 1, Date : May 18, 2009 : Limit executed sell EURO/USD at 13508, Target Hit at 13488,
Result: profit 20 pips


*Day Trading 2, Date : May 19, 2009 : Limit executed, buy at : 13546, Stop loss : 13506 and target profit at : 13600 , target canceled (hard exit at 13588 / + 42 pips)
Result : profit 42 pips


*Day Trading 3, Date : May 20, 2009 : Stop executed, buy at : 13660, Stop loss : 13600 and target profit at : 13708 , target hit at 13708.
Result : profit 48 pips


*Day Trading 4, Date : May 21, 2009 : SL Hit,
Result : loss 38 pips


*Day Trading 5, Date : May 22, 2009 : SL Hit,
Result : loss 31 pips


*Day Trading 6, Date : May 25, 2009 : Order not executedt,NO TRADE
Result : 0


*Day Trading 7, Date : May 26, 2009 : sell ( entry by market price ) at 1.3985, target hit at 1.3904
Result : +82 pips


*Day Trading 8, Date : May 27, 2009 : sell ( entry by market price ) at 1.3964, target hit at 1.3924
Result : +40 pips


*Day Trading 9, Date : May 28, 2009 : sell ( entry by market price ) at 1.3834, SL hit at 1.3894
Result : -60 pips


*Day Trading 10, Date : May 29, 2009 : NO TRADE
Result: 0


Total Profit/Loss : +20 pips + 42 pips + 48 pips + (-38 ) pips + (-31 ) pips + 0 + 82 pips + 40 pips + (-60) pips + 0

DISCLAIMER

Trading of financial instruments involves substantial risk, including complete possible loss of principal plus other losses and is not suitable for all members of the public. This blog discusses my experiences and my style of trading. This blog is for entertainment and educational purposes only. The trades discussed here are MY trades. You make your own trades and you and only you are responsible for your trades. Ideas and opinions discussed on this blog are not in any way recommendations to buy or sell securities or investment advise.

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