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- 61 Results (4 Threads , 57 Replies )
- viktor256 replied May 14, 2024
Risk long DTLE.UK ( iShares $ Treasury Bond 20+yr UCITS ETF ) Stop 4 % Target 6 %
- viktor256 replied May 10, 2024
Close usdpln , BA.US, PFE.US, MA.US - 0.01R
- viktor256 replied May 10, 2024
Close IUSM.DE Nikkei and XAGEUR +0.08R
- viktor256 replied May 10, 2024
close Eurjpy and usdzar - 0.11R
- viktor256 replied May 8, 2024
bitcoin entry skipped MM failure
- viktor256 replied May 8, 2024
2R/3 ( Nikkei 1.6/2 UsdZar 1.1/2 EurJpy 2/2 ) R/3 ( BtcUsd 10/8 XagEur 5/6 Mastercard 1.1/1.5) Total Position : 2R/9Nikkei +2R/9Usdzar+2R/9EurJpy + R/9Btc+R/9XagEur + R/9Mastercard ps: xageur 5/6 is equivalent with XAD6.DE 5.5/6
- viktor256 replied May 7, 2024
Close us30, eurpln, chfsgd Swap level 7% + 0.05R
- viktor256 replied May 7, 2024
One of brokers offer interest rate on free funds 543829294; Free funds interests; 07.05.2024 08:59:44;; Free-funds Interest 2024-04; + 0.5R
- viktor256 replied May 6, 2024
just entered on EU open iShares 7-10y US bond Frankfurt Exchange. Some upside gap at open. 2 % stop loss still well below of the previous low. opened position on US stocks Friday before close
- viktor256 replied May 3, 2024
Monday at the EU open - Risk/2 -> IUSM.DE 2/3 Monday at the US open - Risk/2/2 -> Boeing 11/9 - Risk/2/2 -> Pfizer 10/9 Targets are based on today Friday close for EU and on estimation close for US markets. On Monday we can have some modification of ...
- viktor256 replied May 3, 2024
Long EurCad closed manually. Swap reached 9% from Risk. +0.3R
- viktor256 replied May 3, 2024
Long NzdCad target reached +0.7R
- viktor256 replied Apr 29, 2024
Risk/4 to eurpln 1.6/2 chfsgd 0.9/2 usdpln 3.1/4 Us30 3/2.5
- viktor256 replied Apr 26, 2024
long EURAUD stop reached. Yield drop 0.35R.
- viktor256 replied Apr 24, 2024
long Boeing stop level reached . Yield drop 0.34R.
- viktor256 replied Apr 19, 2024
New entry: Risk divided by 3 shared equally to NZDCAD stop/target 0.7/1.5 EURAUD stop/target 1.5/1.5 Boeing stock 4/7
- viktor256 replied Apr 19, 2024
Current open trade is EURCAD stopLoss 1.1% and target 1.9% but I dont want to mary a trade and I will consider to exit manualy when swap will reach 10% from Risk ( no mater positive or negative). I will write target levels as a percentege from the ...
- sharpVinvest
Started to trade a system from the beginning of this year. After the first quarter the result is ...
- viktor256 replied Aug 8, 2021
You can add also to chart the 1000 MA. In this way we wiil increase the number of trades without be affected by market noise.
- viktor256 replied Aug 8, 2021
1/2 at RR=2 and run the rest for 5-10 days with risk at break even. Or... Hold 1/2 5 days and the rest up to 10 days