On the day 23/Feb the system signaled two buying trades.
1st trade – Buy
Entry: Buy at the upward break of 66,810 along 11:15 and 11:30
Exit: Sell at the downward break of 66,800 along 12:30 and 12:45
Result: 66,795 – 66,815 = -20 points
2nd trade – Buy
Entry: Buy at the upward break of 66,880 along 14:00 and 14:15
Exit: Sell at the downward break of 66,740 along 15:00 and 15:15
Result: 66,735 – 66,885 = -150 points
23/Feb Final Result = -170 points
Number of Trades = 2 Trades (2 Buy)
Feb/12 Cumulative Result = -455 points

No comments:
Post a Comment