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still in EG trade from yesterday,its at b/e after 24 hrs and had a small range
I took the trade as it is a pullback to a clear line,lets see
 

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Experimental trade (based on daily charts):
Sell order S&P 500 @ 1,400.55
Stop @ 1,406.45
Target 1 @ 1,397
Target 2 @ 1,395

If it's not triggered tomorrow, I will cancel it.
 
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long usd/cad at .9929 sl .9901

Im actually wanting this to fall to 0.99070 area before going bullish for confluence on a position (which im looking to take) on NZDUSD short: 0.80670 ish.

Either way! Best of luck.


(oh and of course my GBPJPY trade hits its b/e stop actually yesterday shortly after my half profits of +21 = 1% gain)
 
EURJPY
short 96.99
SL -30
TP +100ish

*red news coming, hopefully doesnt spoil things, will cancel order if not filled soon
*also have a set-up to short EURUSD 2290ish, but will wait until after news release
.
 
EURJPY
short 96.99
SL -30
TP +100ish

*red news coming, hopefully doesnt spoil things, will cancel order if not filled soon
*also have a set-up to short EURUSD 2290ish, but will wait until after news release
.

GL I have the same trade but at 96.96

I also have sl at -45 and tp at 160
 
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