forex trading system

 

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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 August 2009

Monday 3rd: 08:05 Buy at 1.6790 closed at 19:50. Result: T1 T2 T3 T4 +140 pips residual.

Tuesday 4th: 06:50 Buy at 1.6999 closed at 07:35. Result: -76 pips. 07:35 Sell at 1.6915 closed at 12:50. Result: Break-even exit.

Wednesday 5th: 08:15 Buy at 1.6954 closed at 14:05. Result: T1 T2 T3 -15 pips residual.

Thursday 6th: Day before Non-Farm Payroll release - A day we prefer not to trade.

Friday 7th: No Trades

Monday 10th: 06:45 Sell at 1.6652 closed at 19:50. Result: T1 T2 T3 T4 +185 pips residual.

Tuesday 11th: 06:45 Sell at 1.6431 closed at 11:20. Result: -69 pips.

Wednesday 12th: 06:30 Sell at 1.6437 closed at 09:15. Result: T1 T2 -21pips residual. 10:30 Buy at 1.6471 closed at 18:20. Result: T1 T2 T3 +15 pips residual.

Thursday 13th: 13:45 Sell at 1.6579 closed at 20:00. Result: T1 -1pip residual.

Friday 14th: 11:45 Buy at 1.6594 closed at 14:45. Result: -75 pips.

Monday 17th: 06:30 Sell at 1.6386 closed at 12:15. Result: T1 T2 T3 T4 +76 pips residual.

Tuesday 18th: 06:30 Sell at 1.6411 closed at 13:00. Result: T1 T2 T3 +7 pips residual.

Wednesday 19th: 06:30 Sell at 1.6468 closed at 11:20. Result: T1 T2 T3 +39pips residual. 14:00 Buy at 1.6455 closed at 20:00. Result: T1 T2 T3 T4 +78 pips residual.

Thursday 20th: 06:30 Buy at 1.6585 closed at 08:45. Result: T1 -41 pips residual. 09:20 Sell at 1.6509 closed at 15:30. Result: T1 T2 T3 +5 pips residual.

Friday 21st: 07:00 Buy at 1.6495 closed at 14:30. Result: T1 T2 T3 T4 +49 pips residual.

Monday 24th: 07:00 Sell at 1.6438 closed at 09:40. Result: -72 pips. 09:40 Buy at 1.6524 closed at 14:15. Result: -82 pips.

Tuesday 25th: No trades.

Wednesday 26th: Durable orders data release - A day we prefer not to trade.

Thursday 27th: 10:00 Sell at 1.6170 closed at 12:00. Result: -39 pips. 12:00 Buy at 1.6224 closed at 13:55. Result: -65 pips.

Friday 28th: 06:45 Buy at 1.6317 closed at 08:30. Result: Break-even exit.

Monday 31st: UK bank holiday - A day we prefer not to trade.

Trading summary for July 2009

Wednesday 1st: Day before Non-Farm Payroll release - A day we prefer not to trade.

Thursday 2nd: 07:15 Sell at 1.6379 closed at 11:05. Result: T1 T2 T3 +2 pips residual. 13:30 Sell at 1.6334 closed at 17:05. Result: -82 pips.

Friday 3rd: 08:25 Sell at 1.6333 closed at 14:15. Result: T1 T2 -10 pips residual.

Monday 6th: 06:30 Sell at 1.6236 closed at 13:00. Result: T1 T2 T3 T4 +68 pips residual. 14:00 Buy at 1.6218 closed at 20:00. Result: T1 T2 T3 +69 pips residual.

Tuesday 7th: 06:30 Sell at 1.6186 closed at 09:30. Result. T1 T2 -49 pips. 11:20 Buy at 1.6254 closed at 14:05. Result: -90 pips.

Wednesday 8th: 07:05 Buy at 1.6139 closed at 10:45. Result: -81 pips.

Thursday 9th: 06:30 Buy at 1.6138 closed at 20:00. Result: T1 T2 T3 T4 +193 pips.

Friday 10th: 06:45 Sell at 1.6267 closed at 13:55. Result: T1 T2 T3 T4 +57 pips residual.

Monday 13th: 06:45 Sell at 1.6073 closed at 10:40. Result: T1 T2 -23 pips residual. 10:45 Buy at 1.6109 closed at 21:00. Result: T1 T2 T3 T4 +122 pips residual.

Tuesday 14th: 07:45 Buy at 1.6313 closed at 12:45. Result. T1 T2 -20 pips. 13:45 Sell at 1.6281 closed at 16:30. Result: Break-even exit.

Wednesday 15th: No trades.

Thursday 16th: 10:00 Buy at 1.6413 closed at 14:15. Result: T1 T2 T3 +/- 0 pips residual.

Friday 17th: 06:35 Sell at 1.6313 closed at 13:00. Result: T1 T2 -9 pips residual.

Monday 20th: 06:45 Buy at 1.6433 closed at 12:55. Result: T1 T2 T3 T4 +74 pips residual.

Tuesday 21st: 06:30 Sell at 1.6471 closed at 12:25. Result. T1 T2 T3 +18 pips. 12:30 Buy at 1.6466 closed at 14:15. Result: Result. T1 -30 pips.

Wednesday 22nd: 06:30 Sell at 1.6343 closed at 08:45. Result: T1 T2 -31 pips. 10:05 Buy at 1.6383 closed at 13:30. Result: T1 T2 T3 -57 pips residual.

Thursday 23rd: 06:30 Buy at 1.6533 closed at 10:45. Result: -52 pips. 13:05 Sell at 1.6461 closed at 14:40. Result: -76 pips.

Friday 24th: 08:35 Sell at 1.6455 closed at 17:15. Result: T1 T2 T3 -15 pips residual.

Monday 27th: 06:30 Buy at 1.6510 closed at 10:05. Result: -48 pips.

Tuesday 28th: 11:00 Sell at 1.6497 closed at 20:00. Result. T1 T2 T3 T4 +56 pips residual.

Wednesday 29th: Durable orders day - A day we prefer not to trade.

Thursday 30th: 06:30 Buy at 1.6458 closed at 11:35. Result: T1 T2 T3 +28 pips. 13:30 Sell at 1.6475 closed at 14:15. Result: -41 pips.

Friday 31st: 12:00 Sell at 1.6519 closed at 13:45. Result. T1 T2 -10 pips. 15:30 Buy at 1.6621 closed at 20:00. Result. T1 T2 T3 T4 +82 pips residual.

Trading summary for June 2009

Monday 1st: 07:00 Buy at 1.6298 closed at 13:15. Result: T1 T2 T3 T4 +74 pips residual.

Tuesday 2nd: 06:45 Sell at 1.6355 closed at 09:30. Result: Break-even exit. 10:15 Buy at 1.6419 closed at 20:00. Result. T1 T2 T3 T4 +170 pips residual.

Wednesday 3rd: 08:45 Sell at 1.6564 closed at 20:00. Result. T1 T2 T3 T4 +278 pips residual.

Thursday 4th: Day before Big News Friday - A day we prefer not to trade.

Friday 5th: 13:15 Sell at 1.6063 closed at 20:00. Result. T1 T2 T3 +74 pips residual.

Monday 8th: 06:30 Sell at 1.5852 closed at 10:15. Result: T1 T2 -9 pips residual. 11:30 Buy at 1.5918 closed at 20:00. Result. T1 T2 T3 T4 +145 pips residual.

Tuesday 9th: 06:30 Buy at 1.6093 closed at 20:00. Result. T1 T2 T3 T4 +231 pips residual.

Wednesday 10th: 06:30 Buy at 1.6410 closed at 09:30. Result. T1 T2 -70 pips.

Thursday 11th: 08:45 Buy at 1.6466 closed at 12:15. Result. T1 -46 pips residual. 13:40 Buy at 1.6490 closed at 20:00. Result. T1 T2 T3 T4 +88 pips residual.

Friday 12th: 07:15 Sell at 1.6496 closed at 14:45. Result: T1 T2 T3 T4 +59 pips residual.

Monday 15th: 06:30 Sell at 1.6307 closed at 08:50. Result: -75 pips. 08:50 Buy at 1.6395 closed at 12:55. Result: Break-even exit

Tuesday 16th: 06:30 Buy at 1.6345 closed at 13:45. Result. T1 T2 T3 T4 +50 pips residual.

Wednesday 17th: 06:30 Buy at 1.6480 closed at 07:55. Result: -86 pips. 07:55 Sell at 1.6374 closed at 14:55. Result. T1 T2 T3 +78 pips residual.

Thursday 18th: 07:05 Buy at 1.6431 closed at 08:00. Result: T1 T2 -41 pips residual. 08:35 Sell at 1.6285 closed at 14:15. Result. T1 T2 T3 -56 pips residual.

Friday 19th: No trades.

Monday 22nd: 06:30 Sell at 1.6431 closed at 09:15. Result: T1 T2 -71 pips. 09:15 Buy at 1.6017 closed at 12:45. Result: -95 pips. 12:45 Sell at 1.6409 closed at 20:00. Result. T1 T2 T3 +55 pips residual.

Tuesday 23rd: 08:15 Sell at 1.6212 closed at 10:55. Result. -89 pips. 11:00 Buy at 1.6319 closed at 14:45. Result: T1 T2 -42 pips residual.

Wednesday 24th: Durable Orders - A day we prefer not to trade.

Thursday 25th: 06:30 Sell at 1.6402 closed at 14:05. Result. T1 T2 T3 T4 +112 pips residual.

Friday 26th: 07:15 Buy at 1.6500 closed at 14:00. Result: T1 T2 -23 pips residual.

Monday 29th: 07:30 Buy at 1.6534 closed at 14:00. Result: T1 T2 -20 pips residual.

Tuesday 30th: 08:30 Sell at 1.6628 closed at 20:00. Result. T1 T2 T3 T4 +174 pips residual.


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