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- Mr Woozel replied Jul 12, 2012
AUD/JPY bought 80.52, sl 80.20 Daily Horizontal S&R. Stop loss moved to 80.02
Annual Targets: ROI>15%, DD<10%, approx 0.5% risked per trade
- Mr Woozel replied Jul 12, 2012
I moved stop loss to break even when price at 79.23. Jpy sold off yesterday and I moved my stop to 79.88 and it was hit. I also had an order to sell at 79.97, sl 80.20. Price now at 79.40. So my stop loss was hit and my order to sell missed my 1.5 ...
Annual Targets: ROI>15%, DD<10%, approx 0.5% risked per trade
- Mr Woozel replied Jul 11, 2012
Buying where I sold: AUD/USD: bought 1.0247, sl 1.0227 Horizontal resistance turned support. Outcome: Closed at 1.0230 due to USD/JPY
Annual Targets: ROI>15%, DD<10%, approx 0.5% risked per trade
- Mr Woozel replied Jul 11, 2012
GBP/USD: bought 1.5552, sl 1.5530 4hr horizontal resistance turned support (hopefully!) Outcome: Stop loss hit 1.5530 due to USD/JPY
Annual Targets: ROI>15%, DD<10%, approx 0.5% risked per trade
- Mr Woozel replied Jul 11, 2012
NZD/USD: sold 0.7998, sl 0.8028 Trendline resistance after break and daily horizontal resistance.
Annual Targets: ROI>15%, DD<10%, approx 0.5% risked per trade
- Mr Woozel replied Jul 10, 2012
AUD/USD: sold 1.0245, sl 1.0275 Daily horizontal resistance. Stop loss hit 1.0263
Annual Targets: ROI>15%, DD<10%, approx 0.5% risked per trade
- Mr Woozel replied Jul 9, 2012
USD/JPY: sold 79.73, sl 79.98. Horizontal resisitance and trendline break.
Annual Targets: ROI>15%, DD<10%, approx 0.5% risked per trade
- Mr Woozel replied Jul 5, 2012
USD/CAD sold 1.0153, sl 1.0183 Reason: Daily/Weekly S&R Outcome: Stop loss moved to 1.0165 before NFP and Canadian data. Stop loss hit at 1.0165 at NFP release.
Annual Targets: ROI>15%, DD<10%, approx 0.5% risked per trade
- Mr Woozel replied Jul 4, 2012
USD/CHF: sold 0.9590, sl 0.9615 Reason: Daily S&R Result: Closed for 3 pip loss as market not moving and rate decisons tomorrow
Annual Targets: ROI>15%, DD<10%, approx 0.5% risked per trade
- Mr Woozel replied Jul 4, 2012
Just closed it at 1.5615. for intial risk:reward just over 1:3 US holiday and interest rates tomorrow so that is why I closed. Keeping this open though. Will start to post charts with open trades. Will not post orders as I cancel or modify many. ...
Annual Targets: ROI>15%, DD<10%, approx 0.5% risked per trade
- Mr Woozel replied Jul 2, 2012
Just bought GBP/JPY 124.52, sl 124.22
Annual Targets: ROI>15%, DD<10%, approx 0.5% risked per trade
- Mr Woozel replied Jul 2, 2012
Late post. Sold GBP/USD 1.5718 sl 1.5748 Trying that trendline again.
Annual Targets: ROI>15%, DD<10%, approx 0.5% risked per trade
- Mr Woozel replied Jun 29, 2012
Just closed buy at 81.40. Keeping sell open with sl at 81.77. JUST CLOSED SELL TOO
Annual Targets: ROI>15%, DD<10%, approx 0.5% risked per trade
- Mr Woozel replied Jun 29, 2012
Just closed the buy at 124.40. Keeping sell open with sl at 125.08 JUST CLOSED SELL TOO
Annual Targets: ROI>15%, DD<10%, approx 0.5% risked per trade
- Mr Woozel replied Jun 28, 2012
Open trades AUD/JPY sold 81.42 (bad fill!!,) sl 81.77 AUD/JPY bought 79.52, sl 79.22 GBP/JPY sold 124.47, sl 124.77 GBP/JPY bought 123.03, sl 122.72 USD/JPY sold 79.74, sl 79.90 GBP/USD sold 1.5639 sl 1.5670 EUR/USD sold 1.2527, sl 1.2577 Order ...
Annual Targets: ROI>15%, DD<10%, approx 0.5% risked per trade
- Mr Woozel replied Jun 28, 2012
I meant sell at 81.47
Annual Targets: ROI>15%, DD<10%, approx 0.5% risked per trade
- Mr Woozel replied Jun 28, 2012
Just bought AUD/JPY 79.52 sl 79.22 to cancel my buy at 81.47
Annual Targets: ROI>15%, DD<10%, approx 0.5% risked per trade
- Mr Woozel replied Jun 28, 2012
Just bought GBP/JPY 123.03 sl 122.72 to cancel my sell at 124.48
Annual Targets: ROI>15%, DD<10%, approx 0.5% risked per trade
- Mr Woozel replied Jun 28, 2012
Stop loss moved to 98.38 Order EUR/JPY buy 98.27, sl 97.97
Annual Targets: ROI>15%, DD<10%, approx 0.5% risked per trade