1 week ending 25 July: -1.892%
1 week ending 18 July: +0.29%
1 week ending 11 July: +0.921%, floating loss -1.525%
16 week ending 4 July: -12.163%
16 week ending 14 March: +33.2650%
16 weeks ending 21 November: -1.303%
H4:
USD>JPY>CHF>EUR>AUD>CAD
I think currently the best trades should be selling EU and buying UCh, while the most dangerous trade is buying ECh.
pending:
delete pending GCh, UJ. close ECh at a appropriate time.
add EU
sell:
open price + 20pips, SL 1.4380, TP 1.30.
buy UCa:
1.093, SL 1.073, TP 1.153. Risk/Rwd: (1.86%/5.2%)*2/1.6417=2.27%/6.34%
existing:
UH:
buy 7.752, SL 7.743, TP 7.754, Risk/Reward=(0.1162%/0.1419%)*1/1.6333=0.0712%/0.0869%
ECh: (Should be closed eariler)
buy 1.522, SL 1.5080, TP 1.560, Risk/Reward=(0.93%/2.44%)*2*0.86308=1.60%/4.2%
Monthly and weekly chart: symmetrical triangle from 1.48 to 1.57.
Daily chart: MA100 and MA200 form support.
GCh:
sell 1.74057, SL infinite, TP 1.717, Risk/Reward=(infinate/1.37%)*2*1=infinate/2.75%
change to
sell 1.74057, SL 1.7860, TP 1.670, Risk/Reward=(2.54%/4.23%)*2*1=5.09%/8.45%
GCh:
buy 1.77665, SL 0, TP 1.81, Risk/Reward=(infinate/1.84%)*1*1=infinate/1.84%
change to
buy 1.77665, SL 1.7347 1. TP 1.86, Risk/Reward=(2.42%/4.48%)*1*1=2.42%/4.48%
UCa:
buy 1.1262, SL 1.063, TP 1.3000, Risk/Reward=(5.95%/13.37%)*2/1.6333=7.28%/16.37%
GCh:
buy 1.7598, SL 0, TP 1.81, Risk/Reward=(infinate/2.77%)*1*1=infinate/2.77%
change to
buy 1.7598, SL 1.7330, TP 1.86, Risk/Reward=(1.55%/5.39%)*1*1=1.55%/5.39%
EU:
sell 1.42293, SL 1.43793, TP 1.37793, Rsk/Rwd=(1.04%/6.35%)*1*0.8645=0.9%/5.49%
UCh:
buy 1.06796, SL 1.06196, TP 1.08526, Risk/Reward=(0.56%/1.59%)*1/1.6333=0.34%/0.97%
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