My 2017 Trades Journal

[B]Would an admin please delete my previous thread, I would like to start fresh for the new year with a fixed system that I would use for a year.

All about risk management, always take more profit than you risk, or at least a 1:1 risk reward.

Will update my trades when there are changes to SL or TP reached.[/B]

#1 EURJPY 4H Long


[B]#1 Loss -1R

#2 NZDCHF 4H Short[/B]


[B]#2 NZDCHF 4h Short Closed at +1R

#3 USDCHF 4H Long[/B]


#4 EURGBP 4H Short


[B]#3 USDCHF 4H Long -1R

#4 EURGBP 4H Short -1R

The 4H is killing me, I shall stick to D1 charts for awhile.

#5 CADJPY D1 Long

#6 AUDCAD D1 Short[/B]



#7 GOLD D1 Short


[B]#5 CADJPY D1 Long Closed minimal gain, Did not realise was at monthly resistance[/B]

[B]#6 AUDCAD D1 Short Closed +0.5R

#7 GOLD D1 Short Will close when market opens

Net = -1.5R

#8 NZDUSD 4H Short[/B]


[B]#8 NZDUSD 4H Short Closed at BE

Seems like a trade without SL or TP can cause stupid decisions.

Net = -1.5R

#9 EURUSD 4H Long

No closing of this trade until SL or TP is hit, sometimes itchy hands can kill a good trade.

First trade has a 4.48R
Second trade if triggered has a 14.69R
-2R if SL is hit
[/B]


[B]#7 GOLD D1 Short Closed minimal gains

Net -1.5R

#10 AUDJPY 4H Short

Risk 1R
TP 3R
[/B]


[B]#10 AUDJPY 4H Short Closed -1R

#9 EURUSD 4H Long Closed Orders, I was not thinking straight with this one

#11 USDCAD 4H Short
Risk 1R
TP 3R[/B]


#12 USDJPY 4H Short
Risk 1R
TP 2.95R