Below is my current crappytrades
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Medterm plan
USD/JPY long avg 104 , (10540,10440,10360,10305) Target around 113.
AUD/JPY long avg 8020 (8312,8212,8156,8112,8056,8012,7956,7912,7856,7812,7756,7712,)
KIWI long avg 6602 (6695,6612,6556,6512)
SILVER at 11.05 target is 15.00-16.00
USD/PLN short avg 2.495 at (2.430 2,445 2,455 2,485 2,495 2,505 2.515 2.525)
Nearterm plan(we will see LOL)
EUR/AUD short avg 17834 (17530 , 17600 . 17690 . 17780,17850 17990 17760 17720 , 17705 17756 , 17812, 17856, 17912,18098,18180)
CABLE long avg 17834 (17805 , 17820 ,17772 ,17712 ,17656 , 17612 , 17660 17640 17610 17556, )
FIBER long avg 14164 (14065,14433,14450,14012,13956 ,13912,13856,13812,13756,13712,13656,13612)
EUR/JPY long avg 14524 15243 , 15255 ,15205 , 15183 , 15130 , 15070 , 14980, 14960 , 15004 ,15000 , 14983 , 14953, 14907 15017 ,14812,14863, 14865 ,14769 ,14712, 14656, 14612, 14556,14512,14456,14412,14356,14312,14256,14212,14156,14112,14056,14012)
GBP/JPY long avg 18626 (19010, 188,18915,18870, 18712 , 18612 ,18556,18512 ,18456,18412,18356,18312,18256,18212,18156,18112)
AUSSIE long avg 7764 at .7900 ,7912,7812,7756,7712,7656,7612,7556,7512,7456)
After i have added fund to my subbaccounts to avoid "margin call" positions value (SP,MP,SLP etc) are not important anymore. I will try to clean this mess and start over again.
I promise u if i will make to clean this up i focus on 3 pair ONLY (eur/jpy,eur/aud,gbp/usd) and wil limit my entries to no more than 3 daily.
With this speed eu might be at parity by end of the year. LOL
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Medterm plan
USD/JPY long avg 104 , (10540,10440,10360,10305) Target around 113.
AUD/JPY long avg 8020 (8312,8212,8156,8112,8056,8012,7956,7912,7856,7812,7756,7712,)
KIWI long avg 6602 (6695,6612,6556,6512)
SILVER at 11.05 target is 15.00-16.00
USD/PLN short avg 2.495 at (2.430 2,445 2,455 2,485 2,495 2,505 2.515 2.525)
Nearterm plan(we will see LOL)
EUR/AUD short avg 17834 (17530 , 17600 . 17690 . 17780,17850 17990 17760 17720 , 17705 17756 , 17812, 17856, 17912,18098,18180)
CABLE long avg 17834 (17805 , 17820 ,17772 ,17712 ,17656 , 17612 , 17660 17640 17610 17556, )
FIBER long avg 14164 (14065,14433,14450,14012,13956 ,13912,13856,13812,13756,13712,13656,13612)
EUR/JPY long avg 14524 15243 , 15255 ,15205 , 15183 , 15130 , 15070 , 14980, 14960 , 15004 ,15000 , 14983 , 14953, 14907 15017 ,14812,14863, 14865 ,14769 ,14712, 14656, 14612, 14556,14512,14456,14412,14356,14312,14256,14212,14156,14112,14056,14012)
GBP/JPY long avg 18626 (19010, 188,18915,18870, 18712 , 18612 ,18556,18512 ,18456,18412,18356,18312,18256,18212,18156,18112)
AUSSIE long avg 7764 at .7900 ,7912,7812,7756,7712,7656,7612,7556,7512,7456)
After i have added fund to my subbaccounts to avoid "margin call" positions value (SP,MP,SLP etc) are not important anymore. I will try to clean this mess and start over again.
I promise u if i will make to clean this up i focus on 3 pair ONLY (eur/jpy,eur/aud,gbp/usd) and wil limit my entries to no more than 3 daily.
With this speed eu might be at parity by end of the year. LOL