Monday, October 10, 2011

Longer trade on eurusd

It was going to be trade for next few days, but euro exploded. Closed trade at 168% ext. with almost 200 pips of profit. There were also monthly pivot and daily R3 near 168%, so I decided to take a profit.

M30 chart:

Thursday, October 6, 2011

Nice setup in the end

I took a nice trade in late session.

Trade setup was at m5 chart, dji30:


Now let's look at action at m1 chart:


Entry was at the first brakeout from cloud. It was false, but my stop was bellow 0.78%, so it went well. Another brakeout from cloud was right - there was confirmation from williams!

Closed it at 138 projection, because there was also daily R2 resistance at this area, and the session was over :)
Nice trade overall.

Sunday, October 2, 2011

Trades from friday

Friday was pretty crazy, and the strong move down was bigger than I expected.

First, DJI30, m30:


And entry on dji30 m5:


It was too early, but stop loss was wide, and it return to fall. The right entry is were the thumb image is.

On eurusd there was a trend line brake and nice fibo retrecament. Also sell signal on cci.

eurusd, h4:


There is also a short on usoil, h1 chart:


All positions remain open.

Thursday, September 29, 2011

DJI30 short

Trade from today. Before that I took 5 (!!!) wrong entry's and closed it with small losses. Good thing that I made some profit on the last one, big move down.

I wasn't sure about direction. The answer was on 1 minute chart, where price was below 200 sma and was strugling to breake above it.

first the view on m15:


Entry on m5, where macd turns negative!!
m5:


And how the entry was on m1:


The move ended on 200% extension and there was strong bounce back. I think that's because of 50% fib from higher timeframe, which was in the same place.

Euro trade from sept. 28

First the trade from yesterday on eurusd.

Spotted reversal on m15, entry was on m5, when price closed below white K and macd was negative.

m15:


m5:

Saturday, August 27, 2011

Week summary

Quick sum up. Low trading activity this week, part because of Ben Speech on Friday.

I'm moving account 1 to another broker, so for now there will be no more updates on this.

About account nr 2.

For some time there were some nice profits on us10y, but I forget about rollover, and swap points basicly took my profits.

On Thursday tried some day trading after work. All with very small size. In the end:
0.43, 7.25, -0.72, -3.18, -5.5, 4.34. So in the end around 4zl in profit.

Friday was better.
26.07, -2.32, 31.80, -3.58, -1, 0.29.
51.26 in the end.

Account ballance in the end of week: 1372.32zl.

Next week I'll try to post more infos about every trading day. This week I was kind of lazy.

The entry I most happy about:





Wednesday, August 24, 2011

Few mistakes

Few mistakes.



account #1:

still long usdjpy

closed short usdchf without loss

two eurusd trades with small loss



account #2:

Closed sp500 short because there was clean bottom and bounce. Took some loss, but not so big.

Still waiting for friday and bens speach. Until then, i revesed my position. Long sp500, but only 0.01.



Short us10y 0.5. This is working fine so far.



us10y:





I plan to short sp500 again at 1250, but will see after friday.