martedì 29 marzo 2011

[TS] - Operatività di breve €/$

- Prezzi indicati su contratto derivato (non forex) Euro fx.
- Time frame 1 h -
- Gain intorno a 100 pips - Loss intorno a 100 pips.
- Non sempre a mercato -- Operatività ore 8.30 - 22.15
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OPERAZIONI IN CORSO:

29/03 shortato a 1.4063
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OPERAZIONI CONCLUSE:
20/01 short 1,3399 - 21/01 LONG 1,3526 = -127 pips
21/01 long 1,3526 - 24/01 flat 1,3526 = 0
28/01 short 1,3616 - 31/01 LONG 1,3699 = - 83 pips

31/01 long 1.3699 - 03/02 short a 1.3718= + 19 pips

03/02 short 1.3718 -
04/02 flat 1,3640 = + 78 pips

08/02 long 1.3634 -10/02 flat 1.3634 = 0


10/02 short 1.3603 -


11/02 flat 1.3503 = + 100 pips




16/02 long 1.3544 -





17/02 flat 1.3558 = + 14 pips



















22/02 short 1.3542 -22/02




























long 1,3659 = - 117 pips




























22/02 long 1.3659 -22/02













flat 1,3660 = +1 pips















08/03 short 1.3872 -
























































10/03 - flat 1,3834 = +38 pips


























































10/03 short 1,3779 -



























































14/03 flat 1.3968 = - 189 pips




























































15/03 short 1.3916-15/03 flat 1,3894 = + 22pips16/03 short 1.3942 -16/03 flat 1.3942= 016/03 short 1,3872 -17/03 flat 1,3956 = - 84 pips24/03 long 1.4117 -25/03 flat 1,4117 = 0