I opened long on USD/CAD and USD/JPY. I went short on USD/CHF (by mistake), AUD/USD, EUR/USD, and GBP/USD. From there, I followed the rules of my system, repeating profitable positions and reversing the losses.
AUD/USD: -+-
EUR/USD: -
GBP/USD: -+
USD/CAD: +-
USD/CHF: -+
USD/JPY: +--
Result for Monday:
13 trades, with USD/CHF still open as of this writing (it finally took profit at 10:43 Wednesday morning). Realized profit/loss: -214.78 USD.
The week is still early; we still haven't gotten to the fun part yet!
Monday, March 19, 2007
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