On the day 23/Jan the system signaled four selling trades and one buying trade.
1st trade – Sell
Entry: Sell at the downward break of 62,640 along 10:15 and 10:30
Exit: Buy at the upward break of 62,570 along 11:00 and 11:15
Result: 62,635 – 62,575 = +60 points
2nd trade – Sell
Entry: Sell at the downward break of 62,510 along 11:30 and 11:45
Exit: Buy at the upward break of 62,580 along 12:45 and 13:00
Result: 62,505 – 62,585 = -80 points
3rd trade – Buy
Entry: Buy at the upward break of 62,745 along 13:00 and 13:15
Exit: Sell at the downward break of 62,510 along 15:00 and 15:15
Result: 62,505 – 62,750 = -245 points
4th trade – Sell
Entry: Sell at the downward break of 62,510 along 15:00 and 15:15
Exit: Buy at the upward break of 62,615 along 16:00 and 16:15
Result: 62,505 – 62,620 = -115 points
5th trade – Sell
Entry: Sell at the downward break of 62,750 along 17:30 and 17:45
Exit: Buy at the upward break of 62,780 along 18:15 and 18:30
Result: 62,745 – 62,785 = -40 points
23/Jan Final Result = -420 points
Number of Trades = 5 Trades (4 Sell and 1 Buy)
Jan/12 Cumulative Result = -1,050 points
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