Saturday, 8 August 2009

Big loss.
Mainly I tried 4 different strategies, MACD, support/resistance entry with trailing SL, More random entry but with the trend, 100/300 pips fixed exit for EU. Only the second strategy is profitable.

1 week ending 9 August: -11.807%, floating loss -5.343%
1 week ending 2 August: +2.826%, floating loss -13.682%
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%

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