Perhaps it's the biggest weekly loss. I changed my mind and didn't hedge.
Month: NZD > AUD > GBP > CAD > EUR >= CHF > JPY > USD (eur/gbp=0.9776, eur/aud=0.969368, eur/nzd=0.9413, eur/cad=0.9788)
3 months:
UJ:
delete.
EU:
sell 0.01 @ 1.4428, SL 1.4780.
Hedge GU:
buy 0.02 @ open-50pips, 0.01 @ open-250pips, 0.01 @ open-500pips. Target 1.64.
Delete sell limit @1.6230.
NU:
buy 0.02 target 0.6550 when retraced.
1 week ending 29 May: -5.799%, floating loss -8.555%
1 week ending 22 May: +1.726%, floating loss -7.414%
1 week ending 16 May: +1.730%, floating loss -0.572%
1 week ending 8 May: +0.400%, floating loss -4.298%
1 week ending 1 May: +0.481%, floating loss -1.076%
6 week ending 25 April: +1.69%, floating profit +0.031%
16 week ending 14 March: +33.2650%
16 weeks ending 21 November: -1.303%
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