On the day 31/Jan the system signaled three selling trades and one buying trade
1st trade – Sell
Entry: Sell at the downward break of 66.775 along 10:15 and 10:30 (10:16)
Exit: Buy at the upward break of 67.145 along 11:00 and 11:15 (11:04)
Result: 66.770 – 67.150 = -380 points
2nd trade – Sell
Entry: Sell at the downward break of 66.910 along 12:45 and 13:00 (12:55)
Exit: Buy at the upward break of 67.095 along 14:00 and 14:15 (14:02)
Result: 66.905 – 67.100 = -195 points
3rd trade – Buy
Entry: Buy at the upward break of 67.180 along 15:00 and 15:15 (15:03)
Exit: Sell at the downward break of 67.040 along 16:15 and 16:30 (16:16)
Result: 67.035 – 67.185 = -150 points
4th trade – Sell
Entry: Sell at the downward break of 67.040 along 16:15 and 16:30 (16:16)
Exit: Buy at the market close at 66.575
Result: 67.035 – 66.580 = +455 points
31/Jan Final Result = -270 points
Number of Trades = 4 Trades (3 Sell and 1 Buy)
Jan/11 Cumulative Result = -1.485 points
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