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SHORT TERM SIGNALS |
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07.01/11:25 |
USD-JPY -93.32. Long position from 90.93. Stop at 91.60. |
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07.01/11:25 |
Summary of open positions -07.01.2009. |
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06.01/18:19 |
USD-JPY -94.32. Long position from 90.93. Stop at 92.80. |
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06.01/11:17 |
USD-JPY -93.68. Long position from 90.93. We lift a stop order at 91.80. |
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06.01/11:17 |
Summary of open positions -06.01.2009. |
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05.01/10:41 |
USD-JPY -92.68. Long position from 90.93. We lift a stop order at 91.80. |
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05.01/10:41 |
Summary of open positions -05.01.2009. |
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02.01/15:09 |
USD-JPY -91.82. Long position from 90.93. We lift a stop order at 91.30. |
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02.01/19:41 |
USD-JPY -91.38. Long position from 90.93. We place stop order at 90.93. |
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02.01/14:00 |
USD-JPY -91.13. We place entry order to buy at 90.93. |
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02.01/14:00 |
Summary of open positions -02.01.2009. |
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31.12/16:58 |
AUD-USD -0.6878. We place order to close at 0.6900. |
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31.12/11:42 |
AUD-USD -0.6919. We place entry buy at 0.6900. |
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31.12/09:32 |
ÅUR-USD -1.4100. We remove entry sell at 1.4147. |
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31.12/09:32 |
Summary of open positions -31.12.2008. |
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30.12/19:29 |
ÅUR-USD -1.4123. We place entry sell at 1.4147. |
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30.12/11:59 |
Summary of open positions -30.12.2008. |
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29.12/21:50 |
USD-CAD -1.2110. Short from 1.2180. Stop at 1.2180. |
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29.12/17:45 |
USD-CAD -1.2167. We place antry order to sell at 1.2180. |
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29.12/09:49 |
ÅUR-JPY -128.70. Long from 126.27 we close at the market with 243 pips profit. |
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29.12/08:45 |
ÅUR-USD -1.4177. Long from 1.4020. Stop at 1.4065. |
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29.12/08:45 |
ÅUR-JPY -128.22. Long from 126.27. Stop at 127.00. |
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29.12/08:41 |
Summary of open positions -29.12.2008. |
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26.12/22:34 |
GBP-CHF -1.5707. We close short position from 1.5775 with 68 pips profit. |
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26.12/22:28 |
GBP-USD -1.4700. Short position from 1.4700 we close at the market. |
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26.12/16:00 |
GBP-CHF -1.5725. Short from 1.5775. Stop at 1.5775. |
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26.12/18:26 |
GBP-USD -1.4686. We place entry order to sell at 1.4700. |
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26.12/16:04 |
ÅUR-JPY -127.49. Long from 126.27. Stop at 126.56. |
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26.12/16:00 |
GBP-CHF -1.5775. We sell at the market. |
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26.12/09:06 |
ÅUR-USD -1.4045. We place entry buy at 1.4020. |
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26.12/09:06 |
ÅUR-JPY -127.05. Long from 126.27. Stop at 126.27. |
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26.12/09:06 |
Summary of open positions - 26.12.2008. |
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24.12/14:33 |
ÅUR-JPY -126.70. Long from 126.27. Stop at 126.27. |
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24.12/11:58 |
ÅUR-JPY -126.27. We buy at the market |
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24.12/11:57 |
Summary of open positions - 24.12.2008. |
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19.12/10:25 |
NZD-JPY -51.53. Long from 51.10. Stop at 51.10. |
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19.12/10:25 |
Summary of open positions - 19.12.2008. |
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18.12/12:10 |
NZD-JPY -53.10. Long from 51.10. |
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18.12/12:10 |
Summary of open positions - 18.12.2008. |
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17.12/08:54 |
NZD-JPY -51.36. We place entry buy at 51.10. |
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17.12/05:53 |
Summary of open positions - 17.12.2008. |
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08.12/22:23 |
AUD-JPY -62.05. We close long position from 61.60 with 45 pips profit. |
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08.12/18:30 |
AUD-JPY -61.72. We place entry buy order at 61.60. |
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08.12/16:03 |
GBP-USD - 1.4890. We close long position from 1.4855 with 35 pips profit. |
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08.12/16:01 |
EUR-GBP - 0.8664. We place entry buy order at 0.8655. |
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08.12/15:58 |
GBP-USD - 1.4880. Long from 1.4855. Stop at 1.4855. |
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08.12/15:16 |
GBP-USD - 1.4855. We buy at the market. |
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08.12/14:30 |
GBP-JPY - 138.40. We close short from 139.14 with 74 pips profit. |
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08.12/10:19 |
USD-JPY - 93.23. Long from 92.80 (average price) we close at the market with 43 pips profit. |
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08.12/09:52 |
GBP-JPY - 138.92. We place entry sell at 139.14. |
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08.12/09:37 |
CAD-JPY - 73.72. We close long from 73.45 with 32 pips profit. |
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08.12/09:37 |
USD-JPY - 92.80. Long from 92.80 (average price). |
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08.12/09:36 |
Summary of open positions - 08.12.2008. |
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05.12/11:00 |
USD-JPY - 92.13. Long from 93.50. We buy at the market. |
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05.12/11:00 |
CAD-JPY - 72.00. Long 75.34.We place entry buy at 71.56 |
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05.12/11:00 |
Summary of open positions - 05.12.2008. |
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04.12/11:19 |
USD-JPY - 92.86. Long from 94.53. We place entry buy at 92.46. |
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04.12/11:19 |
CAD-JPY - 73.60. Long 75.97.We place entry buy at 74.72 |
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04.12/11:19 |
Summary of open positions - 04.12.2008. |
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03.12/11:23 |
USD-JPY - 92.92. Long from 94.53. We place entry buy at 92.46. |
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03.12/11:22 |
CAD-JPY - 74.00. Long 75.97.We place entry buy at 73.48. |
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03.12/11:22 |
Summary of open positions - 02.12.2008. |
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02.12/24:00 |
USD-CAD -1.2470. We close short position from 1.2570 with 100 pips profit. |
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02.12/22:37 |
USD-CAD -1.2515. We place limit close at 1.2470 |
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02.12/21:35 |
CAD-JPY - 74.10. Long 75.97. We place entry buy at 73.48. |
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02.12/21:05 |
USD-CAD -1.2560. We place entry sell at 1.2570 |
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02.12/20:15 |
EUR-USD - 1.2715. Long from 1.2715 we close at the market. |
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02.12/11:35 |
USD-JPY - 93.00. Long from 94.53 |
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02.12/11:35 |
CAD-JPY - 74.58. Long 75.97. |
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02.12/11:35 |
EUR-USD - 1.2603. Long from 1.2715. |
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02.12/11:35 |
Summary of open positions - 02.12.2008. |
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01.12/21:30 |
USD-JPY - 93.07.Long from 94.53. We place entry buy at 92.48 |
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01.12/11:24 |
CAD-JPY - 75.75. Long from 76.20. We place entry buy at 75.75 |
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01.12/11:02 |
GBP-CHF - 1.8397. We close short position from 1.8565 with 168 pips profit. |
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01.12/10:47 |
USD-JPY - 94.70. We place entry buy at 94.53. |
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01.12/09:19 |
CAD-JPY - 76.51. We place entry buy at 76.20 |
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01.12/08:52 |
EUR-USD - 1.2680. Long from 1.2715. |
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01.12/08:52 |
GBP-CHF -1.8542. Short position from 1.8565. |
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01.12/08:52 |
Summary of open positions - 01.12.2008. |
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28.11/18:21 |
AUD-CAD -0.8090. We close long position from 0.8073. |
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28.11/16:23 |
GBP-JPY -146.18. We close short from 146.90 with 72 pips profit. |
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28.11/15:30 |
AUD-USD -0.6535. Short from 0.6575 we close with 40 pips profit. |
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28.11/14:44 |
GBP-CHF -1.8565. We sell at the market |
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28.11/14:36 |
EUR-USD 1.2731. We place entry buy at 1.2715. |
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28.11/08:47 |
AUD-CAD -0.8110. We place entry buy at 0.8073. |
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28.11/08:47 |
AUD-USD -0.6575. Short from 0.6575. |
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28.11/08:47 |
GBP-JPY -146.96. Short from 146.90. |
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28.11/08:47 |
Summary of open positions - 28.11.2008. |
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27.11/21:22 |
NZD/USD -0.5540. We place entry sell order at 0.5565 |
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27.11/21:22 |
AUD/USD -0.6602. Short from 0.6575. We place entry order to sell at 0.6651 |
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27.11/11:55 |
AUD/USD -0.6566. We place entry sell order at 0.6575 |
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27.11/11:16 |
GBP-JPY -146.67. We place entry sell at 146.90 |
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27.11/11:07 |
CAD/CHF -0.9741. We close short from 0.9779 (average price) with 73 pips profit (2 lots) |
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27.11/08:21 |
CAD/CHF -0.9768. Short from 0.9779 (average price) |
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27.11/08:21 |
Summary of open positions - 27.11.2008. |
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26.11/19:30 |
CAD/CHF -0.9770. Short from 0.9745. We place entry seell order at 0.9814. |
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26.11/18:30 |
CAD/CHF -0.9745. We sell at the market. |
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26.11/13:28 |
EUR/GBP-0.8466. We close long position from 0.8426 with 40 pips profit. |
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26.11/11:27 |
EUR/GBP-0.8437. We place entry order to buy at 0.8426. |
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26.11/11:22 |
CAD/CHF -0.9761. We close long from 0.9635 with 125 pips profit. |
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26.11/11:22 |
AUD/USD -0.6501. We close long position from 0.6445 with 56 pips profit. |
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26.11/09:38 |
AUD/USD -0.6445. We buy at the market. |
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26.11/09:36 |
CAD/CHF -0.9702. Long from 0.9635. |
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26.11/09:36 |
USD/CAD -1.2267. Long from 1.2217. Stop at 1.2217. |
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26.11/09:35 |
Summary of open positions - 26.11.2008. |
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25.11/21:38 |
EUR/CAD -1.6030. We place entry sell order at 1.6060 |
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25.11/20:07 |
USD/CAD -1.2319. Long position from 1.2217. Stop at 1.2217 |
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25.11/20:07 |
CAD/CHF -0.9635. We buy at the market. |
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25.11/19:12 |
USD/CAD -1.2217. We buy at the market. |
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25.11/19:12 |
Summary of open positions - 25.11.2008. |
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31.10/18:15 |
NZD/USD -0.5818. We place stop order at 0.5855 |
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31.10/16:59 |
NZD/USD -0.5855. We sell at the market. |
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31.10/16:59 |
Summary of open positions - 31.10.2008. |
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23.10/18:00 |
USD/JPY -97.60. We remove order to sell at 98.36 |
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23.10/11:45 |
USD/JPY -98.10. We place entry order to sell at 98.36 |
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23.10/11:45 |
Summary of open positions - 23.10.2008. |
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20.10/14:55 |
GBP/USD -1.7363. We close long from 1.7300. |
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20.10/09:05 |
GBP/USD -1.7375. Long from 1.7300. |
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20.10/09:05 |
Summary of open positions - 20.10.2008. |
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17.10/18:36 |
USD/JPY -101.41. We close long position from 100.81 with 60 pips profit. |
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17.10/08:45 |
GBP/USD -1.7330. We place entry order to buy at 1.7300 |
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17.10/10:45 |
USD/JPY -101.23. We place entry order to buy at 100.81 |
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17.10/10:44 |
Summary of open positions - 17.10.2008. |
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16.10/17:39 |
USD/JPY -100.53. We close short position from 100.81. |
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16.10/08:45 |
USD/JPY -100.23. We place entry order to sell at 100.81 |
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16.10/08:44 |
Summary of open positions - 16.10.2008. |
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15.10/22:15 |
USD/JPY -100.85. We remove order to sell at 101.81 |
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15.10/11:15 |
USD/JPY -101.45. We place entry order to sell at 101.81 |
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15.10/10:15 |
GBP-USD -1.7437.We close short position from 1.7447 |
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15.10/10:15 |
Summary of open positions - 15.10.2008. |
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14.10/10:05 |
GBP-USD -1.7447.We sell at the market |
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14.10/10:05 |
Summary of open positions - 14.10.2008. |
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13.10/20:59 |
EUR/USD -1.3543. We close long position from 1.3512 with 31 pips profit. |
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13.10/19:28 |
EUR/USD -1.3512. We buy at the market. |
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13.10/13:48 |
USD/JPY -100.55. We close long from 100.23 with 32 pips profit |
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13.10/10:21 |
USD/JPY -100.73. We place entry order to buy at 100.23 |
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13.10/10:21 |
Summary of open positions - 13.10.2008. |
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10.10/18:17 |
GBP/USD -1.7000. We close short from 1.7151 with 151 pips profit. |
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10.10/18:09 |
GBP/USD -1.7151. We sell at the market. |
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10.10/17:39 |
GBP/USD -1.7128. Short from 1.7151. Stop at 1.7151 |
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10.10/17:25 |
GBP/USD -1.7151. We sell at the market. |
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10.10/17:25 |
Summary of open positions - 10.10.2008. |
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09.10/14:35 |
EUR/USD- 1.3705.We close long from 1.3665 with 40 pips profit |
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09.10/13:54 |
EUR/USD- 1.3695.We place entry order to buy at 1.3665 |
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09.10/10:00 |
EUR/GBP-0.7945. Long from 0.7950. We place order to close at 0.7950 |
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09.10/10:00 |
Summary of open positions - 09.10.2008. |
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08.10/13:25 |
EUR/GBP-0.7800. Long from 0.7950. We place order to buy at 0.7775 |
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08.10/11:40 |
Summary of open positions - 08.10.2008. |
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30.09/12:33 |
EUR/GBP -0.7962. We place entry buy at 0.7950. |
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30.09/12:33 |
GBP/USD -1.8050. We remove entry order to sell at 1.8122. |
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30.09/11:40 |
GBP/USD -1.8122. We sell at the market |
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30.09/11:40 |
Summary of open positions - 30.09.2008. |
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29.09/18:59 |
USD/CHF -1.0964. We close our long from 1.0920 with 44 pips profit. |
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29.09/18:20 |
USD/CHF -1.0920. We buy at the market |
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29.09/11:00 |
ÅUR/CAD -1.4953. We close short position from 1.5043 with 90 pips profit. |
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29.09/11:00 |
Summary of open positions - 29.09.2008. |
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26.09/11:32 |
ÅUR/CAD -1.5135. Short position from 1.5043. |
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26.09/11:32 |
Summary of open positions - 26.09.2008. |
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19.09/11:20 |
ÅUR/AUD -1.7525. We close sell from 1.7917 with 396 pips profit |
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19.09/11:20 |
ÅUR/CAD -1.5075. Short position from 1.5043. |
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19.09/11:20 |
Summary of open positions - 19.09.2008. |
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17.09/19:00 |
GBP/JPY -188.45. We remove entry buy at 187.03 |
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17.09/11:29 |
GBP/JPY -188.35. We place entry buy at 187.03 |
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17.09/11:27 |
ÅUR/AUD -1.7893. We sell at 1.7917 |
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17.09/11:24 |
ÅUR/CAD -1.5126. Short position from 1.5043. |
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17.09/11:20 |
Summary of open positions - 17.09.2008. |
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11.09/19:31 |
ÅUR/CAD -1.5043. We sell at the market. |
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11.09/16:42 |
GBP/USD -1.7505. We close short postion from 1.7525 |
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11.09/17:38 |
ÅUR/CAD -1.5005. We sell at the market. |
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11.09/13:14 |
GBP/USD -1.7495. We place entry sell at 1.7525 |
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11.09/18:20 |
Summary of open positions - 11.09.2008. |
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10.09/22:30 |
NZD/CHF -0.7556. Short from 0.7576. We place order to close at 0.7522 |
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10.09/18:20 |
NZD/CHF -0.7576. We sell at the market |
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10.09/18:20 |
EUR/CHF -1.5938. We place entry order to sell at 1.5967 |
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10.09/18:20 |
Summary of open positions - 10.09.2008. |
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08.09/12:00 |
EUR/GBP -0.8037. We close short position from 0.8037 at the market. |
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08.09/12:00 |
Summary of open positions - 08.09.2008. |
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05.09/11:30 |
EUR/GBP -0.8080. Short position from 0.8037 (Average price). |
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05.09/11:30 |
Summary of open positions - 05.09.2008. |
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04.09/09:30 |
EUR/USD -1.4510. We place entry buy at 1.4475. Stop at 1.4375. |
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04.09/09:30 |
GBP/JPY -192.10. Long from 201.18. Hedge. |
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04.09/09:30 |
EUR/GBP -0.8151. Short position from 0.8037 (Average price). |
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04.09/09:30 |
Summary of open positions - 04.09.2008. |
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03.09/17:41 |
AUD/USD -0.8336. We close long position from 0.8252 with 84 pips profit. |
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03.09/16:04 |
USD/CAD -1.0621. We close short position from 1.0663 with 41 pips profit. |
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03.09/16:45 |
EUR/GBP -0.8135. We sell at the market. |
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03.09/16:04 |
USD/CAD -1.0663. We sell at the market. |
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03.09/11:50 |
AUD/USD -0.8252. We buy at the market |
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03.09/11:50 |
GBP/JPY -192.34. Long from 201.18. |
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03.09/11:50 |
EUR/GBP -0.8134. Short position from 0.7940 (Average price). |
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03.09/11:50 |
Summary of open positions - 03.09.2008. |
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02.09/11:34 |
USD/JPY -108.66. Long from 108.56. We place a stop at 108.56. |
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02.09/11:34 |
USD/JPY -108.56. We buy at the market |
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02.09/08:37 |
GBP/JPY -193.90. Long from 201.18 |
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02.09/08:34 |
EUR/GBP -0.8115. Short position from 0.7940 (Average price). |
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02.09/08:34 |
Summary of open positions - 02.09.2008. |
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29.08/16:23 |
USD/CAD -1.0551. We close long position from 1.0523 with 28 pips profit |
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01.09/08:38 |
NZD/USD -0.6958. Short from 0.7014 we close at the market with 56 pips profit |
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01.09/08:37 |
GBP/JPY -195.61. Long from 201.18 |
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01.09/08:34 |
EUR/GBP -0.8113. Short position from 0.7940 (Average price). |
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01.09/08:34 |
Summary of open positions - 01.09.2008. |