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Most
Recent (3 months) Trading Results...
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Featured Platform used for these updates
is Interbank FX Trader
Time Frame – GMT:
Currency pair traded GBPUSD:
Gross profit exits (including spread) are
targeted as follows:
Target 1 (T1) = 20 pips
Target 2 (T2) = 29 pips
Target 3 (T3) = 49 pips
Target 4 (T4) = 99 pips
Target 5 (T5) = Close or closed by stop loss.
Our
bespoke staking strategy is applied to daily trades ensuring
losses are smoothed out while maximising profit.
Trading
summary for May 2009:
Friday 1st: 08:30 Buy at 1.4852 closed at
13:30. Result: T1 T2 T3 T4 -9 pips residual.
Monday 4th: 08:15 Sell at 1.4910 closed
at 13:00. Result: T1 T2 T3 +7 pips residual.
Tuesday 5th: 08:15 Buy at 1.5049 closed
at 14:15. Result: T1 T2 T3 T4 +25 pips residual.
Wednesday 6th: 07:30 Buy at 1.5055 closed
at 11:15. Result: T1 T2 T3 -13 pips residual.
Thursday 7th: Day prior to the Big News
Friday - A day we prefer not to trade
Friday 8th: No trades
Monday 11th: 07:30 Sell at 1.5166 closed
at 15:15. Result: T1 T2 T3 +54 pips residual.
Tuesday12th: 07:30 Buy at 1.5187 closed
at 13:45. Result: T1 T2 T3 T4 +74 pips residual.
Wednesday 13th: 09:45 Sell at 1.5218 closed
at 16:15. Result: T1 T2 T3 T4 +16 pips residual.
Thursday 14th: 10:30 Sell at 1.5091 closed
at 13:15. Result: T1 -26 pips. 13:30 Buy at 1.5179 closed
at 21:00. Result: T1 T2 T3 +56 pips residual.
Friday 15th: 08:50 Sell at 1.5174 closed
at 11:45. Result: T1 T2 -20 pips. 13:00 Buy at 1.5255 closed
at 17:00. Result: T1 T2 -73 pips residual.
Monday 18th: 07:30 Buy at 1.5182 closed
at 21:00. Result: T1 T2 T3 T4 +163 pips residual.
Tuesday 19th: 08:45 Buy at 1.5507 closed
at 12:40. Result: -37 pips.
Wednesday 20th: 07:30 Buy at 1.5518 closed
at 10:35. Result: -44 pips.
Thursday 21st: No trades.
Friday 22nd: 07:30 Sell at 1.5788 closed
at 08:30. Result: T1 T2 -41 pips residual. 10:50 Buy at
1.5871 closed at 20:00. Result: T1 T2 T3 +30 pips residual.
Monday 25th: 08:00 Sell at 1.5844 closed
at 12:20. Result: -73 pips, however there was a clear signal
to exit at break-even.
Tuesday 26th: 07:30 Sell at 1.5834 closed
at 12:15. Result: T1 T2 T3 -42 pips residual. 12:15 Buy
at 1.5885 closed at 20:45. Result. T1 T2 T3 +37 pips residual.
Wednesday 27th: 07:30 Buy at 1.6004 closed
at 11:45. Result. T1 T2 -36 pips. 11:45 Sell at 1.5963 closed
at 13:25. Result: -75 pips. 13:25 Buy at 1.6049 closed at
19:30. Result. T1 T2 -46 pips.
Thursday 28th: Durable Orders Day - A day
we prefer not to trade.
Friday 29th: 07:30 Buy at 1.6085 closed
at 13:45. Result: T1 T2 T3 +6 pips. 13:45 Buy at 1.6086
closed at 15:00. Result: T1 T2 -40 pips.
Trading
summary for April 2009:
Wednesday 1st: 07:45 Buy
at 1.4363 closed at 13:30. Result: T1 T2 T3 -6 pips.
Thursday 2nd: Day before
Big News Friday - A day we prefer not to trade.
Friday 3rd: Big News Friday
- News Trade didn't trigger
Monday 6th: 12:35 Sell at
1.4841 closed at 21:00. Result: T1 T2 T3 T4 +69 pips residual.
Tuesday 7th: 09:05 Sell
at 1.4634 closed at 12:45. Result: T1 T2 T3 -43 pips residual.
Wednesday 8th: 09:35 Buy
at 1.4693 closed at 12:00. Result: T1 T2 T3 -14 pips residual.
Thursday 9th: 07:45 Sell
at 1.4676 closed at 13:00. Result: T1 T2 T3 -52 pips residual.
Friday 10th: Good Friday
Monday 13th: Easter Monday
Tuesday 14th: 10:05 Buy
at 1.4917 closed at 14:40. Result: -52 pips.
Wednesday 15th: 08:40 Buy
at 1.4929 closed at 12:30. Result: T1 T2 T3 -2 pips residual.
Thursday 16th: 08:00 Sell
at 1.4934 closed at 13:00. Result: T1 T2 T3 -5 pips residual.
13:00 Buy at 1.4940 closed at 19:15. Result: Break-even
exit
Friday 17th: 07:45 Sell
at 1.4819 closed at 12:30. Result: T1 T2 T3 -13 pips residual.
12:30 Buy at 1.4840 closed at 16:35. Result: -70 pips
Monday 20th: 07:30 Sell
at 1.4643 closed at 13:30. Result: T1 T2 T3 T4 +62 pips
residual.
Tuesday 21st: 08:30 Buy
at 1.4585 closed at 12:45. Result: Break-even exit.
Wednesday 22nd: 07:45 Sell
at 1.4563 closed at 10:30. Result: T1 T2 -67 pips residual.
10:30 Buy at 1.4657 closed at 12:25. Result: -153 pips.
12:30 Sell at 1.4472 closed at 14:30. Result: T1 T2 T3 -62
pips residual.
Thursday 23rd: 14:00 Sell
at 1.4518 closed at 14:55. Result: -97 pips.
Friday 24th: Durable Orders
- A day we prefer not ot trade.
Monday 27th: 10:30 Buy at
1.4584 closed at 17:55. Result: T1 T2 T3 T4 +35 pips residual.
Tuesday 28th: 10:00 Buy
at 1.4576 closed at 15:55. Result: T1 T2 T3 T4 +31 pips
residual.
Wednesday 29th: 08:05 Buy
at 1.4745 closed at 17:55. Result: T1 T2 T3 -13 pips residual.
12:30 Sell at 1.4727 closed at 14:00. Result: T1 T2 -41
pips residual. 15:15 Buy at 1.4785 closed at 18:45. Result:
Break-even exit.
Thursday 30th: 07:45 Buy
at 1.4923 closed at 09:15. Result: T1 -56 pips residual.
09:30 Sell at 1.4842 closed at 15:00. Result: T1 T2 T3 T4
+20 pips residual.
Trading
summary for March 2009:
Monday 2nd: 08:20 Sell at
1.4166 closed at 20:05. Result: T1 T2 T3 T4 +117 pips residual.
Tuesday 3rd: 08:30 Buy at
1.4153 closed at 10:30. Result: -78 pips. 10:30 Sell at
1.4063 closed at 13:15. Result: T1 T2 T3 -21 pips residual.
Wednesday 4th: 07:45 Buy
at 1.4077 closed at 09:15. Result: T1 -43 pips residual.
Thursday 5th: Day before
Big News Friday - A day we prefer not to trade.
Friday 6th: No trades presented
after the news announcements.
Monday 9th: 08:30 Sell at
1.3988 closed at 18:00. Result: T1 T2 T3 T4 +168 pips residual.
Tuesday 10th: 08:30 Buy
at 1.3867 closed at 10:15. Result: Break-even exit
Wednesday 11th: 10:25 Buy
at 1.3779 closed at 13:45. Result: T1 T2 T3 -11 pips residual.
Thursday 12th: 07:45 Sell
at 1.3817 closed at 12:45. Result: T1 T2 T3 +9 pips residual.
Friday 13th: 08:15 Buy at
1.3958 closed at 15:00. Result: T1 T2 T3 +20 pips residual.
Monday 16th: 07:45 Buy at
1.4099 closed at 12:55. Result: T1 T2 T3 T4 +78 pips residual.
14:00 Sell at 1.4104 closed at 21:00. Result: T1 T2 +38
pips residual.
Tuesday 17th: 08:00 Sell
at 1.4029 closed at 11:00. Result: -74 pips. 11:45 Sell
at 1.4009 closed at 17:45. Result: T1 T2 -34 pips residual.
Wednesday 18th: 07:30 Sell
at 1.3986 closed at 12:50. Result: T1 T2 T3 T4 +9 pips residual.
13:00 Buy at 1.3991 closed at 18:30. Result: Break-even
exit.
Thursday 19th: 07:50 Buy
at 1.4270 closed at 18:45. Result: T1 T2 T3 T4 +239 pips
residual.
Friday 20th: 07:30 Buy at
1.4517 closed at 10:15. Result: T1 T2 T3 -27 pips residual.
10:40 Sell at 1.4445 closed at 14:15. Result: T1 T2 -63
pips residual.
Monday 23rd: 08:30 Buy at
1.4612 closed at 08:30. Result: -67 pips. 18:30 Sell at
1.4519 closed at 11:30. Result: -125 pips. 13:55 Sell at
1.4502 closed at 18:30. Result: T1 T2 -46 pips residual.
Tuesday 24th: 09:30 Buy
at 1.4738 closed at 10:30. Result: T1 T2 -67 pips.
Wednesday 25th: 07:30 Sell
at 1.4615 closed at 10:45. Result: T1 T2 -47 pips residual.
Thursday 26th: 07:30 Buy
at 1.4639 closed at 09:35. Result: -94 pips. 09:35 Sell
at 1.4525 closed at 13:00. Result: -87 pips. 14:15 Sell
at 1.4489 closed at 21:00. Result: T1 T2 T3 +39 pips residual.
Friday 27th: 07:50 Sell
at 1.4411 closed at 16:00. Result: T1 T2 T3 T4 +86 pips
residual.
Monday 30th: 11:30 Buy at
1.4199 closed at 15:30. Result: Break-even exit
Tuesday 31st: 07:30 Sell
at 1.4253 closed at 11:00. Result: -90 pips residual.
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