On the day 31/Mar the system signaled one selling trade and one buying trade.
1st trade – Sell
Entry: Sell at the downward break of 68.715 along 15:30 and 15:45
Exit: Buy at the upward break of 68.750 along 15:45 e 16:00
Result: 68.710 – 68.755 = -45 points
2nd trade – Buy
Entry: Buy at the upward break of 68.780 along 16:00 e 16:15
Exit: Sell at the market close 68.680
Result: 68.675 – 68.785 = -110 points
31/Mar Final Result = -155 points
Number of Trades = 2 Trades (1 Sell and 1 Buy)
Mar/11 Cumulative Result = -565 points
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