On the day 26/Mar the system signaled six selling trades.
1st trade – Sell
Entry: Sell at the downward break of 66,600 along 10:45 and 11:00
Exit: Buy at the upward break of 66,695 along 11:00 and 11:15
Result: 66,595 – 66,700 = -105 points
2nd trade – Sell
Entry: Sell at the downward break of 66,600 along 11:30 and 11:45
Exit: Buy at the upward break of 66,665 along 12:00 and 12:15
Result: 66,595 – 66,670 = -75 points
3rd trade – Sell
Entry: Sell at the downward break of 66,770 along 14:00 and 14:15
Exit: Buy at the upward break of 66,815 along 14:15 and 14:30
Result: 66,765 – 66,820 = -55 points
4th trade – Sell
Entry: Sell at the downward break of 66,890 along 15:00 and 15:15
Exit: Buy at the upward break of 66,975 along 15:00 and 15:15
Result: 66,885 – 66,980 = -95 points
5th trade – Sell
Entry: Sell at the downward break of 66,975 along 15:45 and 16:00
Exit: Buy at the upward break of 67,050 along 16:00 and 16:15
Result: 66,970 – 67,055 = -85 points
6th trade – Sell
Entry: Sell at the downward break of 67,005 along 16:30 and 16:45
Exit: Buy at the upward break of 67,050 along 17:00 and 17:15
Result: 67,000 – 67,055 = -55 points
26/Mar Final Result = -470 points
Number of Trades = 6 Trades (6 Sell)
Mar/12 Cumulative Result = -400 points
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