On the day 02/May the
system signaled two selling trades.
1st trade – Sell
Entry: Sell at the
downward break of 62,030 along 09:15 and 09:30
Exit: Buy at the upward
break of 62,140 along 10:00 and 10:15
Result:
62,025 – 62,145 = -120 points
2nd trade – Sell
Entry: Sell at the
downward break of 62,785 along 16:00 and 16:15
Exit: Buy at the upward
break of 62,830 along 16:30 and 16:45
Result:
62,780 – 62,835 = -55 points
02/May Final Result = -175
points
Number of Trades = 2
Trades (2 Sell)
May/12 Cumulative
Result = -175 points
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