Oh I see… Thanks for the info Jason
19 June
SELL 1 LOT @ EURUSD 1.3616
Stopped out -20
20 June
BUY 2 LOTS @ 1.3611
Stopped out -40
23 June
BUY 3 LOTS @ 1.3592
I see you are increasing the position size when loosing (not sure but S/L seems to get larger too).
Is this part of the strategy ?
Please see post #1 for brief description of the system. Stop Loss and Take Profit fixed at 20/30 respectively
Take Profit +90
25 June
SELL 1 LOT @ 1.3618
**** happens… stopped out
-20
26 June
BUY 1 LOT @ 1.3616
27 June
BUY 2 LOTS @ 1.3615
Stopped Out -20
Profit out… +60
I think I can do pretty well following your signals
Do you have anything for JULY and AUGUST ?
1 July
SELL 1 LOT @ 1.3690
Profit out… +30
4 July
BUY 1 LOT @ 1.3587
subscribed for use on my demo account.
quite risky tho, increasing position size to make up for losses.