Welcome to my online trading journal! The purpose of this journal is so that I can keep track of my performance and learn from my mistakes. Your input is always welcome as long as it is constructive, so if you have an opinion please feel free to share it.

Monday, September 26, 2011

Monday, Sept, 26, 2011 GBP/USD

I took a short on gbp/usd after an UT, but was stopped out the next bar above the high. In my opinion the market was weak because there were several tests with no result, and the general trend was down. Also the fact that the SO produced no result is another sign of weakness.

Result:  -33

Friday, September 23, 2011

Friday, september, 23 2011 usd/chf

I went short on usd/chf  on an inside bar closing on the lows bellow support on increased volume. However the next bar was a countermanding shakeout so I decided to close the position with a small profit.  I'm really pissed at myself because I took another trade on eur/chf  impulsively without thinking and ended up with a loss.

Initial Risk: 50      Result: +9

Monday, September 12, 2011

Monday, Sept, 12 2011 EUR/USD

I took a short On EUR/USD because of a ND bar in a down trend, but I decided to not hold the position during the Asian session. I closed the position 2 bars later because selling pressure was diminishing.

Initial Risk: 70      Result: 30



I re-entered short after an UT but closed out an hour later because we were right on support. Now I am looking for further weakness on the 15m for another entry.
Initial Risk: 48    Result: 61


Sunday, September 4, 2011

sunday Sept, 4, 2011, USD/CHF

I went short on USD/CHF because the trend was down, and there was ND followed by supply. I entered on the low of the high volume, narrow spread up bar. However I closed the position 2 bars later because it appears that demand is coming in.

I am also long on G/U at the moment. I will publish the results when I close the position, but I am planning on holding it for some time.

Initial Risk: 30      Result: +2