FX Trading Signals

[B]TRADE #002[/B]

[B]~USD/CAD~[/B]
31.07.2007

[B]* {RS} *[/B]

[B]Entry[/B] - 1.0658
[B]< [I]Executed & Closed Successfully[/I] >[/B]

[B]Lots Traded - [/B]Balance x 5%, eg: $5000*5% = $250 (25,000K)

[B]Target 1 / 100 PIPs[/B] - ~1.8300 (Locked In Profit)
One third of our position has been locked in and our stop has been moved to break even for the remaining 2/3’s of the position, which remain short.

eg: 25,000K / 3 = $8,333K (Micro/Super Mini Lots)

[B]Target 2 / 81 PIPs[/B] - 1.577 (Locked In Profit)
[B]
[/B]
[B]Stop Loss[/B] [B]/ [/B]Break Even; 0 PIPs- 1.0658
(Previously:[B] ~136 PIPs [/B]- 1.0795)


[B]TOTAL Profit Since T[/B][B]rade #001 /31.07.2007/:[/B] [B]-280 Pips : +181 (-99)[/B]


[B]TRADE #011[/B]

[B]~USD/CHF~[/B]
06.08.2007

[B]* {RC} *[/B]

[B]Entry[/B] - 1.1750
[B]< Cancelled >[/B]

[B]Lots Traded - [/B]Balance x 5%, eg: $5000*5% = $250 (25,000K)

[B]Target 1 / 100 PIPs[/B] - x.xxxx (Cancelled)
[B]Target 2 / x PIPs[/B] - x.xxxx (Cancelled)
[B]Target 3 / x PIPs[/B] - x.xxxx (Cancelled)
[B]
[/B]
[B]Stop Loss[/B] [B]/ ~125 PIPs [/B]- 1.1876


[B]TOTAL Profit Since T[/B][B]rade #001 /31.07.2007/:[/B] [B]-280 Pips : +181 (-99)[/B]


[B]TRADE #012[/B]

[B]~USD/JPY~[/B]
06.08.2007

[B]* {RC} *[/B]

[B]Entry[/B] - 116.47
[B]< Cancelled >[/B]

[B]Lots Traded - [/B]Balance x 5%, eg: $5000*5% = $250 (25,000K)

[B]Target 1 / 100 PIPs[/B] - xxx.xx (Cancelled)
[B]Target 2 / x PIPs[/B] - xxx.xx (Cancelled)
[B]Target 3 / x PIPs[/B] - xxx.xx (Cancelled)
[B]
[/B]
[B]Stop Loss[/B] [B]/ ~136 PIPs [/B]- 117.83


[B]TOTAL Profit Since T[/B][B]rade #001 /[/B][B]31.07.2007[/B][B]/:[/B] [B]-280 Pips : +181 (-99)[/B]


Effi…

Was wondering if you could go over the exit criteria again for the last 2/3 of your position? Is each target 100 pips for each 1/3? THnaks

Adam

[B]TRADE #013[/B]

[B]~USD/CAD~[/B]
06.08.2007

[B]* {RS} *[/B]

[B]Entry[/B] - 1.0577
[B]< [I]Executed[/I] >[/B]

[B]Lots Traded - [/B]Balance x 5%, eg: $5000*5% = $250 (25,000K)

[B]Target 1 / 100 PIPs[/B] - x.xxxx (Live)
[B]Target 2 / x PIPs[/B] - x.xxxx (Live)
[B]Target 3 / x PIPs[/B] - x.xxxx (Live)
[B]
[/B]
[B]Stop Loss[/B] [B]/ [/B][B]~140 PIPs[/B]- 1.0437


[B]TOTAL Profit Since T[/B][B]rade #001 /31.07.2007/:[/B] [B]-280 Pips : +181 (-99)[/B]


[B]TRADE #014[/B]

[B]~USD/JPY~[/B]
07.08.2007

[B]* {RB} *[/B]

[B]Entry[/B] - 119.42
[B]< Pending Execution >[/B]

[B]Lots Traded - [/B]Balance x 5%, eg: $5000*5% = $250 (25,000K)

[B]Target 1 / 100 PIPs[/B] - xxx.xx (Pending)
[B]Target 2 / x PIPs[/B] - xxx.xx (Pending)
[B]Target 3 / x PIPs[/B] - xxx.xx (Pending)
[B]
[/B]
[B]Stop Loss[/B] [B]/ ~140 PIPs [/B]- 118.02


[B]TOTAL Profit Since T[/B][B]rade #001 /[/B][B]31.07.2007[/B][B]/:[/B] [B]-280 Pips : +181 (-99)[/B]


[B]TRADE #015[/B]

[B]~USD/CHF~[/B]
07.08.2007

[B]* {RB} *[/B]

[B]Entry[/B] - 1.1958
[B]< Pending Execution >[/B]

[B]Lots Traded - [/B]Balance x 5%, eg: $5000*5% = $250 (25,000K)

[B]Target 1 / 100 PIPs[/B] - x.xxxx (Pending)
[B]Target 2 / x PIPs[/B] - x.xxxx (Pending)
[B]Target 3 / x PIPs[/B] - x.xxxx (Pending)
[B]
[/B]
[B]Stop Loss[/B] [B]/ ~125 PIPs [/B]- 1.1833


[B]TOTAL Profit Since T[/B][B]rade #001 /31.07.2007/:[/B] [B]-280 Pips : +181 (-99)[/B]


[B]TRADE #016[/B]

[B]~GBP/USD~[/B]
07.08.2007

[B]* {RS} *[/B]

[B]Entry[/B] - 2.0310
[B]< [I]Executed[/I] >[/B]

[B]Lots Traded - [/B]Balance x 5%, eg: $5000*5% = $250 (25,000K)

[B]Target 1 / 100 PIPs[/B] - x.xxxx (Live)
[B]Target 2 / x PIPs[/B] - x.xxxx (Live)
[B]Target 3 / x PIPs[/B] - x.xxxx (Live)
[B]
[/B]
[B]Stop Loss[/B] [B]/ ~170 PIPs [/B]- 2.0478


[B]TOTAL Profit Since T[/B][B]rade #001 /31.07.2007/:[/B] [B]-280 Pips : +181 (-99)[/B]


[B]TRADE #016 - [I][U]UPDATE[/U][/I]
[/B]

[B]~GBP/USD~[/B]
07.08.2007

[B]* {RS} *[/B]

[B]Entry[/B] - 2.0310
[B]< [I]Executed[/I] >[/B]

[B]Lots Traded - [/B]Balance x 5%, eg: $5000*5% = $250 (25,000K)

[B]Target 1 / 114 PIPs[/B] - 2.0197 (Locked Profit)
One third of our position has been locked in and our stop has been moved to break even for the remaining 2/3’s of the position, which remain short.

[B]Target 2 / x PIPs[/B] - x.xxxx (Live)
[B]Target 3 / x PIPs[/B] - x.xxxx (Live)
[B]
[/B]
[B]Stop Loss[/B] [B]/ [/B]Break Even; 0 PIPs- 2.0310
(Previously:[B] ~170 PIPs [/B]- 2.0478)


[B]TOTAL Profit Since T[/B][B]rade #001 /31.07.2007/:[/B] [B]-280 Pips : +295 (+15)[/B]


Short EUR/USD at 1.3754
stop loss 116 pips 1.3869

[B]TRADE #017[I][U][/U][/I]
[/B]

[B]~EUR/USD~[/B]
08.08.2007

[B]* {RS} *[/B]

[B]Entry[/B] - 1.3746
[B]< [I]Executed[/I] >[/B]

[B]Lots Traded - [/B]Balance x 5%, eg: $5000*5% = $250 (25,000K)

[B]Target 1 / 114 PIPs[/B] - x.xxxx (Live)
[B]Target 2 / x PIPs[/B] - x.xxxx (Live)
[B]Target 3 / x PIPs[/B] - x.xxxx (Live)
[B]
[/B]
[B]Stop Loss[/B] [B]/ [/B][B]~116 PIPs[/B]- 1.3866


[B]TOTAL Profit Since T[/B][B]rade #001 /31.07.2007/:[/B] [B]-280 Pips : +295 (+15)[/B]


[B]TRADE #018[/B]

[B]~EUR/JPY~[/B]
31.07.2007

[B]Entry[/B] - 164.25
[B]< Cancelled >[/B]

[B]Lots Traded - [/B]Balance x 5%, eg: $5000*5% = $250 (25,000K)

[B]Target 1 / 100 PIPs[/B] - xxx.xx (Cancelled)
[B]Target 2 / x PIPs[/B] - xxx.xx (Cancelled)
[B]Target 3 / x PIPs[/B] - xxx.xx (Cancelled)
[B]
[/B]
[B]Stop Loss[/B] [B]/ ~200 PIPs [/B]- 162.23


[B]TOTAL Profit Since T[/B][B]rade #001 /[/B][B]31.07.2007[/B][B]/:[/B] [B]-280 Pips : +295 (+15)[/B]


[B]TRADE #016 - [I][U]UPDATE[/U][/I]
[/B]

[B]~GBP/USD~[/B]
08.08.2007

[B]* {RS} *[/B]

[B]Entry[/B] - 2.0310
[B]< [/B][B] [I]Executed & Closed Successfully[/I][/B][B] >[/B]

[B]Lots Traded - [/B]Balance x 5%, eg: $5000*5% = $250 (25,000K)

[B]Target 1 / 114 PIPs[/B] - 2.0197 (Locked Profit)
One third of our position has been locked in and our stop has been moved to break even for the remaining 2/3’s of the position, which remain short.

[B][U]OUR REMAINING 2/3’s were stopped out at b/e.[/U][/B]
[U]No[/U] Loss. 114 Pips profit.
[B]
[/B]
[B]Stop Loss[/B] [B]/ [/B]Break Even; 0 PIPs- 2.0310
(Previously:[B] ~170 PIPs [/B]- 2.0478)


[B]TOTAL Profit Since T[/B][B]rade #001 /31.07.2007/:[/B] [B]-280 Pips : +295 (+15)[/B]


Additional Comments:

All other trades have pretty much been executed:
Trade #18: +90 Pips
Trade #17: -51
Trade #15: +6
Trade #14: +28
[U]Floating Total: +73[/U]

Keep updated for new signals at the daily candle open.

Regards.
E. Lang

[B]TRADE #019[/B]

[B]~GBP/JPY~[/B]
09.09.2007

[B]Entry[/B] - 245.13
[B]< Cancelled >[/B]

[B]Lots Traded - [/B]Balance x 5%, eg: $5000*5% = $250 (25,000K)

[B]Target 1 / 100 PIPs[/B] - xxx.xx (Cancelled)
[B]Target 2 / x PIPs[/B] - xxx.xx (Cancelled)
[B]Target 3 / x PIPs[/B] - xxx.xx (Cancelled)
[B]
[/B]
[B]Stop Loss[/B] [B]/ ~340 PIPs [/B]- 241.70


[B]TOTAL Profit Since T[/B][B]rade #001 /[/B][B]31.07.2007[/B][B]/:[/B] [B]-280 Pips : +295 (+15)[/B]


Whats up Effi.

Im getting totally mixed signals from what your posting and Im seeing on the charts? In particular your GBP/JPY and EUR/JPY trades…are these RB. RS, RC?
Thanks. Talk to you laters

Adam

Hello Adam,

We had a problem with my charts, i had to switch to a new broker with different timing, so all the signal i’d taken pretty much never existed or were at least unreliable to an extent.

Everything is being fixed now and i’ve reinstalled the platforms and changed brokers, so it should all be good from now onwards.

I’ do apologize for the inconvenience.

Regards,
E. Lang

EUR/USD Trade: Closed out 1/3 of position for 100 pips 1.3655

Rest Remains open with S/L moved to breakeven @ 1.3754

[B]TRADE #020
[/B]

[B]~AUD/USD~[/B]
10.08.2007

[B]* {RS} *[/B]

[B]Entry[/B] - 0.8447
[B]< [I]Executed[/I] >[/B]

[B]Lots Traded - [/B]Balance x 5%, eg: $5000*5% = $250 (25,000K)

[B]Target 1 / 114 PIPs[/B] - x.xxxx (Live)
[B]Target 2 / x PIPs[/B] - x.xxxx (Live)
[B]Target 3 / x PIPs[/B] - x.xxxx (Live)
[B]
[/B]
[B]Stop Loss[/B] [B]/ [/B][B]~128 PIPs[/B]- 0.8575


[B]TOTAL Profit Since T[/B][B]rade #001 /31.07.2007/:[/B] [B]-280 Pips : +295 (+15)[/B]


Lots of pairs closed out in profit others in loss.

I won’t be counting none of them because they were issued of false signals.

We’re all good from today onwards though, everything is fixed and a buddy of mine will also be helping with updating the signals, so we can keep things nice n freshy like.

Regards,
E. Lang

[B]TRADE #021[/B]

[B]~USD/CHF~[/B]
13.08.2007

[B]* {RS} *[/B]

[B]Entry[/B] - 1.1977
[B]< Executed >[/B]

[B]Lots Traded - [/B]Balance x 5%, eg: $5000*5% = $250 (25,000K)

[B]Target 1 / 100 PIPs[/B] - x.xxxx (Live)
[B]Target 2 / x PIPs[/B] - x.xxxx (Live)
[B]Target 3 / x PIPs[/B] - x.xxxx (Live)
[B]
[/B]
[B]Stop Loss[/B] [B]/ ~132 PIPs [/B]- 1.2109


[B]TOTAL Profit Since T[/B][B]rade #001 /31.07.2007/:[/B] [B]-280 Pips : +295 (+15)[/B][B][/B]