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- AussieSteve replied Jan 10, 2012
Wait - what? Did you really take both a long and a short from this position, or are you suggesting what to target from here for each depending on your personal feelings in the market? If you took both a long and a short with no S/L on either, when ...
- AussieSteve replied Jan 9, 2012
1) Lower lot-sizes, larger time-frames. 2) Realistic SL/TP and R:R setups. 3) Be willing to lose your risk and accept your reward. 4) Use support, resistance and trend lines to help define the landscape - ignore all at your peril. 4) Don't move your ...
- AussieSteve replied Dec 9, 2011
Very educational the last few pages. For those who want to "follow" others trades and just rely on others to do the thinking, go to etoro, drop in your cash and hope they know what they are doing. For those of us leaning the business of trading, ...
- AussieSteve replied Nov 29, 2011
It's not the AA bankrupcy - it's the ECB failing to 100% sterilize bond purchases.
- AussieSteve replied Nov 14, 2011
Lock it in, reset and re-enter when a good setup appears with a reasonable r:r ratio. Right now if you don't have a stop set, you in effect have a 5k risk vs ?? reward. And based on what you were saying about account size, I reckon that will be ...
- AussieSteve replied Nov 2, 2011
too true. if only FXF would stay up on big news and not give us the "too busy try again later" error page
- AussieSteve replied Nov 2, 2011
Thirded :-) While I treat the information I see in this (and all the other threads of FF) like a smoargasboard - I take what I like the look of and pass on everything else, really find there is some solid analysis coming out of some regulars in this ...
- AussieSteve replied Nov 1, 2011
After ~2 minute gap with no connectivity on my GoMarkets MT4 clients, I'm now seeing spreads have now returned to around 1.4 pips. We're back to normal now?
- Posts by Member Search: 'AussieSteve'