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- 398 Results (14 Threads, 384 Replies)
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paogeh replied Jan 22, 2020Long term EU is down trend ... SHORT eu , ..... Currently , can 1 lot can earn USD5 swap per day . USD5 X30 = USD150 per month . go for 10 lot ==> USD1500 just holding 10 lot short. Find EU peak and short + HOLD .... capital gain + swap gain = ...
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paogeh replied Jan 16, 2020My 6lot short since wed , with triple swap. Original usd2k . As eu rise againt my positions. Added usd4k to hold the line . Finally ....its coming back
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paogeh replied Jan 16, 2020im back in EU game . Burned USD80K in past 3 months purely in EU. due to Bullish EU that killed my SHORTS . now ,i';m back . still holding EU short bias. why : 1. USD pay swap . EUR demand swap 2. World crisis anytime . Iran/South China Sea/Trade ...
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paogeh replied Jan 16, 2020i also dun get it ..... during trade war turn sour ....EU rocket up .... now , trade war turn GOOD , EU supposed to DIP , not happening .... and , USD is paying +swap , while EUR is paying -swap . Some more , crisis in IRAN/middle east , etc ..... ...
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paogeh replied Oct 24, 2019which is why many LOVE EU , great for scalp ! UP DOWN, UP DOWN ....
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paogeh replied Oct 18, 2019long story , here how it';s go , 1Sep , started using USD2K . using "ALL-IN" strategy , no SL , add fund when trade is bad to hold the line . In Sep, added fund till USD13K . Make profit of ~USD30K in Sep . Come to Oct , Short EU , and EU start to ...
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paogeh replied Oct 17, 2019Today as london session , eu spike to 1.1140 Acc got a call from margin call With above fundanmemtal, eu still manage to rise. I lose. Im out of the game . Today loss = usd72k image
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paogeh replied Oct 16, 2019Still holding my shorts from sep At short 52 lots, I get juicy usd300 daily swap . accumulsted usd2300 since . Why short ? 1. Eu fundamental still bad 2. Bexit still messy 3.turkey war might blow and risk on event 4. Long term eu down trend 5. Cot , ...
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paogeh replied Oct 15, 2019I need eu down Yeah, more down With 52lot short at avegre price 1.0970 The more drop , the better Its good week for the bear
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paogeh replied Oct 12, 2019Notice that whenever trade war risk with china 1. Risk off == good news == eur drop 2. Risk on == bad news == eur rise With this week good news , suspect eur might drop .
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paogeh replied Oct 10, 2019Despite so many bad news for euro 1. China trade war 2. Brexit no deal 3. US , repo issue 4. Long euro , hv to pay swap Euro jump , killing those short .... My deep red ugly acc image
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paogeh replied Oct 9, 2019The sudden rise of EU , tonight FOMC going to annouce QE4 ? got QE4 == USD drop ? no QE4 = USD rise ?
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paogeh replied Oct 9, 2019Hi asg, May i know where to get those options expire data ? I tried below, but it's different from yours. Thank you url
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paogeh replied Oct 8, 2019Life is good :: Acc stood at usd53k Started in sep 2k.... add on till usd13k .... And.m been witdrawing usd1k--2k weekly since image image
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paogeh replied Oct 8, 2019Maybe due to brexit Eu drop like stone. My acc from deep negative -usd13k .... now become blue image image
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paogeh replied Oct 8, 2019Holding short since last week Reason: 1. Expect more bad news from euro 2. Expect trade talk with china turn sour. 3. Collect daily swap . 1lot =usd6 .. im holding 30lot . image
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paogeh replied Oct 3, 2019Nothing changed the bad fundamental of euro . Trade war with china , europe Brexit Eu poor fundamental , etc Short eu , still daily swap positive .
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