- Search Metals Mine
- Mr Woozel replied May 31, 2012
Closed at 78.52 for risk:reward just short of 1:5. Stop losses hit on other open trades. None of them were full losses. Have no open positions. Account at £635 (£560 was balance at beginning of journal) Approx 60 trades this month (so many more than ...
Annual Targets: ROI>15%, DD<10%, approx 0.5% risked per trade
- Mr Woozel replied May 29, 2012
stop loss moved 0.9783
Annual Targets: ROI>15%, DD<10%, approx 0.5% risked per trade
- Mr Woozel replied May 29, 2012
stop loss moved to 77.88 stop loss moved to 1.2448
Annual Targets: ROI>15%, DD<10%, approx 0.5% risked per trade
- Mr Woozel replied May 29, 2012
Order EUR/USD: buy 1.2473, sl 1.2433
Annual Targets: ROI>15%, DD<10%, approx 0.5% risked per trade
- Mr Woozel replied May 29, 2012
AUD/USD buy activated and AUD/JPY missed order by two pips so may cancel this order... Will start analysing trades soon to try and improve stop loss placements, risk:reward etc.
Annual Targets: ROI>15%, DD<10%, approx 0.5% risked per trade
- Mr Woozel replied May 28, 2012
stop losses hit on AUD/JPY sell (equivalent to initial risk:reward 1:5) and AUD/USD sell (full loss) Orders AUD/USD: buy 0.9803, sl 0.9763 AUD/JPY: buy 78.03, sl 77.73
Annual Targets: ROI>15%, DD<10%, approx 0.5% risked per trade
- Mr Woozel replied May 25, 2012
Open Trade Summary USD/JPY: sold 79.97, sl 80.27 AUD/JPY: sold 78.96 (although got filled at 79.93), sl 78.35 (initially 79.27) AUD/USD: sold 0.9797, sl 0.9837 Will leave open over the weekend. Cancelling all pending orders. After approx 55 trades, ...
Annual Targets: ROI>15%, DD<10%, approx 0.5% risked per trade
- Mr Woozel replied May 25, 2012
Just closed AUD/JPY buy at 78.02 and moved sl on the AUD/JPY sell to 78.35
Annual Targets: ROI>15%, DD<10%, approx 0.5% risked per trade
- Mr Woozel replied May 24, 2012
Pending Orders AUD/USD: sell 0.9797, sl 0.9837 AUD/USD: buy 0.9670, sl 0.9630 EUR/JPY: sell 100.97, sl 101.27 EUR/JPY: SELL 101.97, 102.27 GBP/JPY: sell 125.47, sl 125.77 GBP/JPY: buy 123.03, sl 122.73 EUR/USD: buy 1.2473, sl 1.2433 EUR/USD: buy ...
Annual Targets: ROI>15%, DD<10%, approx 0.5% risked per trade
- Mr Woozel replied May 23, 2012
Open Trades Summary USD/JPY: sold 79.97, sl 80.27 AUD/JPY: sold 78.96, sl 78.96 (initially 79.27) AUD/JPY: bought 77.03, sl 76.73 Essentially flat AUD/JPY. Bought to protect profits from sell but kept sell open in case price broke below support.
Annual Targets: ROI>15%, DD<10%, approx 0.5% risked per trade
- Mr Woozel replied May 23, 2012
Just closed at 99.90 for risk:reward 1:7
Annual Targets: ROI>15%, DD<10%, approx 0.5% risked per trade
- Mr Woozel replied May 23, 2012
If I closed all of my open trades now, I will have achieved my annual targets before the first month is up.
Must be running hot and didn't expect to enter anywhere near the amount of trades I have (approx 55)Annual Targets: ROI>15%, DD<10%, approx 0.5% risked per trade
- Mr Woozel replied May 23, 2012
Maybe you will get many more responses by including negative values.

Vote for your growth rate, Please!
- Mr Woozel replied May 23, 2012
stop loss hit Orders Added EUR/JPY: buy 99.53, sl 99.23 EUR/JPY: buy 99.03, sl 98.73 EUR/USD: buy 1.2475, sl 1.2435 AUD/USD: buy 0.9672, sl 0.9632
Annual Targets: ROI>15%, DD<10%, approx 0.5% risked per trade
- Mr Woozel replied May 23, 2012
Charts below to show why I bought at 1.2626
Annual Targets: ROI>15%, DD<10%, approx 0.5% risked per trade
- Mr Woozel replied May 23, 2012
Stop loss on AUD/JPY sell moved to 78.25 Stop loss on AUD/JPY buy hit at breakeven Stop loss hit at breakeven Stop loss moved to 101.25 The EUR/JPY and AUD/JPY sells "protected" the profits from the buys, although I could have doubled the profits ...
Annual Targets: ROI>15%, DD<10%, approx 0.5% risked per trade
- Mr Woozel replied May 23, 2012
Order Added EUR/USD: buy 1.2626, sl 1.2586 AUD/JPY: buy 77.03, sl 76.73
Annual Targets: ROI>15%, DD<10%, approx 0.5% risked per trade
- Mr Woozel replied May 22, 2012
USD/CHF: just closed at 0.9958 for risk:reward 1:5 All stop losses on buy trades moved to breakeven.
Annual Targets: ROI>15%, DD<10%, approx 0.5% risked per trade
- Mr Woozel replied May 22, 2012
Stop loss hit. Chart below to show why I bought at 125.53
Annual Targets: ROI>15%, DD<10%, approx 0.5% risked per trade