"Cool peppers!" - page 9

 

I have short eu positions closed at the moment: Patterns show a possible flat or even a reversal to the north. The signal is quite clear on 3 TFs (hours - day forecast, 4h - week forecast, days - month forecast). And the previous downside forecast paid off. However, those 2 sigma white corridors remain wide to the extreme (high volatility is to blame).

 

2012.07.25 17:00:01 '3001847': order was opened : #7064169 buy 1.00 EURUSD at 1.2140 sl: 1.2038 tp: 1.2238


So far the situation is in a draw:


Closed Transactions:
TicketOpen TimeTypeSizeItem PriceS / LT / PClose Time PriceCommissionTaxesSwapProfit
70452332012.07.17 13:04balanceDeposit10 000.00
70453452012.07.17 14:00buy1.00eurusd1.22851.21831.22852012.07.20 15:041.21830.000.00-14.62-1 020.00
70548092012.07.20 16:00sell1.00eurusd1.21581.22601.20602012.07.24 17:581.20600.000.00-4.27980.00
70565782012.07.23 11:00buy1.00audusd1.02951.01921.03922012.07.25 03:011.01920.000.0014.34-1 030.00
70616382012.07.24 18:00buy1.00eurusd1.20611.19591.21592012.07.25 13:051.21590.000.00-2.92980.00
0.00 0.00 -7.47 -90.00
Closed P/L: -97.47
Open Trades:
TicketOpen TimeTypeSizeItem PriceS / LT / P PriceCommissionTaxesSwapProfit
70628622012.07.25 08:00buy1.00audusd1.02211.01181.03181.02870.000.000.00660.00
70565822012.07.23 11:00buy1.00gbpusd1.55451.54421.56421.54960.000.00-3.87-490.00
70641692012.07.25 14:00buy1.00eurusd1.21401.20381.22381.21360.000.000.00-40.00
0.00 0.00 -3.87 130.00
Floating P/L: 126.13
Working Orders:
TicketOpen TimeTypeSizeItem PriceS / LT / PMarket Price
No transactions
Summary:
Deposit/Withdrawal: 10 000.00 Credit Facility: 0.00
Closed Trade P/L: -97.47 Floating P/L: 126.13 Margin: 3 790.60
Balance: 9 902.53 Equity: 10 028.66 Free Margin: 6 238.06
 
Reshetov:


2012.07.25 17:00:01 '3001847': order was opened : #7064169 buy 1.00 EURUSD at 1.2140 sl: 1.2038 tp: 1.2238


So far the situation is in a draw:


Closed Transactions:
TicketOpen TimeTypeSizeItem PriceS / LT / PClose Time PriceCommissionTaxesSwapProfit
70452332012.07.17 13:04balanceDeposit10 000.00
70453452012.07.17 14:00buy1.00eurusd1.22851.21831.22852012.07.20 15:041.21830.000.00-14.62-1 020.00
70548092012.07.20 16:00sell1.00eurusd1.21581.22601.20602012.07.24 17:581.20600.000.00-4.27980.00
70565782012.07.23 11:00buy1.00audusd1.02951.01921.03922012.07.25 03:011.01920.000.0014.34-1 030.00
70616382012.07.24 18:00buy1.00eurusd1.20611.19591.21592012.07.25 13:051.21590.000.00-2.92980.00
0.00 0.00 -7.47 -90.00
Closed P/L: -97.47
Open Trades:
TicketOpen TimeTypeSizeItem PriceS / LT / P PriceCommissionTaxesSwapProfit
70628622012.07.25 08:00buy1.00audusd1.02211.01181.03181.02870.000.000.00660.00
70565822012.07.23 11:00buy1.00gbpusd1.55451.54421.56421.54960.000.00-3.87-490.00
70641692012.07.25 14:00buy1.00eurusd1.21401.20381.22381.21360.000.000.00-40.00
0.00 0.00 -3.87 130.00
Floating P/L: 126.13
Working Orders:
TicketOpen TimeTypeSizeItem PriceS / LT / PMarket Price
No transactions
Summary:
Deposit/Withdrawal: 10 000.00 Credit Facility: 0.00
Closed Trade P/L: -97.47 Floating P/L: 126.13 Margin: 3 790.60
Balance: 9 902.53 Equity: 10 028.66 Free Margin: 6 238.06

Is R-Net_ver...? Does it work like that?
 
Reshetov:
Oh, come on. Where did you learn to record floating profits as an asset? Get your trades up to at least 100.
 
TheXpert:
Oh, come on. Where did you learn to record floating profits as an asset?

Where's the profit? What are you talking about?

TheXpert:
Get your trades up to at least 100.
There is no such condition in the rules of the topic.
 
Reshetov:

Where's the profit? What are you talking about?

There is no such condition in the rules of the topic.

R-Net?
 
alexeymosc:

As of today, patterns from the past (spirits from the past) say: downward trend, but vaguely. Hourly "forecast" for a day, 4-hourly for a week, daily for a month.


Boy, nobody here is interested in your drawing. Nobody here cares what you think or don't think about Jews, politics, weather, your homeboys, etc. Go reflect in the euronet. Here it's real, it's all about the stats, it's all about the real money.
 
TheXpert:
Oh, come on. Where did you learn to record floating profits as an asset? Get your trades up to at least 100.

Floating profit or loss is an asset. It's the only one that matters.
 
C-4:
A floating profit or loss is an asset. It is the only one that matters.
OMG... Go to a restaurant on a floating profit. Or buy a car. On a floating one.
 
No, you'd better go to a restaurant for the balance! No, better not like that. Get a real account, then open a position with full margin, drain 90% of the account, but do not close the position, but lock it. Then come to your brokerage company and demand, demand and demand your balance back. After all, for you there is no loss, because it is floating and does not matter. In fact, your account is 100% safe.