Daily-based profitable trading calls

This appears to be a very generous offer, and no doubt the intent is genuine. However, one ought to disregard the majority popular opinion, as unfortunately, it is nearly always wrong.
 
update, 2/2/05

Here is my trading update: (I was unable to update yesterday for personal reasons, today I resume my forum's portfolio update)

==============
1. Spot Forex
==============

Account initial balance : USD5,000
Account current equity (closed trades 1/2): USD 14,125 +182.50%


ALL TRADES CLOSED
1. Short nzd/usd @ 0.7177, closed 0.71 +77 pips
2. Short aud/usd @ 0.7750, closed 0.774 +10 pips

***** flat now ******

Technically speaking : FOMC raised interest rates by 25bp to 2.5%. While I'm not a fundamental trader, what I do see is that fundamentals agree with technicals in a long USD outlook for the time being, despite swings either direction that will take place.

===============
2. BetonMarkets.com
===============

Account initial balance : USD2,000
Account current equity (closed bets 27/01): USD 3,306.8 +65,3%


NEW BET OPEN:

1.Win USD500 if NZD/USD never touches 0.7245 at any time before midnight GMT on 04-FEB-05 [inclusive] (NO TOUCH).
Purchase Price (cost of bet) : USD 402.6


========================
3. CFD's & Index Futures
========================

Account initial balance : USD13,000
Account current equity : USD 21,193 +63,50% (CFD's only) (as of trades closed, last date 1/02/2005)


===CFD's======

Closed Short E-On @ 68, 68.30 -0.4%, yesterday.

Monitoring open trades :
1. Sold Birtish American Tobacco (UK Share-CFD) @ 928.25, stop 960, target 900

===Index Futures=====

Monitoring open trades :

1. Sold FTSE100 @ 4,845.00, stop open , target 4,750
2. Sold CAC 40 @ 3,877, stop open target 3,740 .... moves against my trades, but they will eventually pay, as the CWS I'm sure will do its job.

Index Futures' cumulated points (since 17/12/2004) : +602p (this result does not count for the overall portfolio performance)


**************************************************




*******GLOBAL DATA & PORTFOILIO PERFORMANCE ********
**************************************************

Initial capital : USD 20,000 (start of december, 2004)
Current equity : USD 36,668.4 +83,33% (27/01/2004) (Index Futures not included)


**************************************************




Best trading to all,

Qwerty
 
Hi Qwerty...,

I have been following this thread for some time and have been impressed thus far.

Do you have have past performance figures on the 4 different products you are trading as well as the index futures.? Im sure this would be of benefit on the web page also. The actual trades and profit/loss would be good to see how consistent the results have been.

Keep up the good work

Thanks
 
Weekend Analysis

Weekend analysis : Another upswing by the US Dollar against all major currencies, following my well pre-commented $-bullish patterns on the longer term charts. Despite so-so economic data (and following one of the main trading rules : economics can be interpretated only in one way : what better serves the politicans at any particular time), the US currency made the gains it was expected on the longer-term picture, and now looks well sustained technically. The strong gains on the US currency also lifted bourses worldwide, which ended the week with not bad gains. It maybe is time for the bourses to look up, but time will tell and there are clear warning signs ...

Next trading update, as usual, tomorrow around 21-22 GMT

Qwerty
 
update, 8/2/2005

Here is my trading update:

==============
1. Spot Forex
==============

Account initial balance : USD5,000
Account current equity (closed trades 24/1): USD 15,175 +203.50%


ALL TRADES CLOSED:
1. Short nzd/usd @ 0.7177, closed at 0.70 +177
2. Short aud/usd @ 0.7750, closed at 0.7630 +120

NEW TRADE OPEN:
1. Long Gbp/Usd @ 1.8540, stop 1.8470, target 1.87 (half the size)

Technically speaking : the USD looks a little bit tired after the current upmove and I look for a bit of a retracement following my CWS.

===============
2. BetonMarkets.com
===============

Account initial balance : USD2,000
Account current equity (closed bets 27/01): USD 3,306.8 +65,3%


****flat now*****

========================
3. CFD's & Index Futures
========================

Account initial balance : USD13,000
Account current equity : USD 21,293 +63,80% (CFD's only) (as of trades closed, last date 24/01/2005)


===CFD's======

**** flat now ****

===Index Futures=====

Monitoring open trades :

**** flat now ****

Index Futures' cumulated points (since 17/12/2004) : +477p (this result does not count for the overall portfolio performance)


**************************************************


*******GLOBAL DATA & PORTFOILIO PERFORMANCE ********
**************************************************

Initial capital : USD 20,000 (start of december, 2004)
Current equity : USD 37,002.7 +85,01% (8/2/2004) (Index Futures not included)


**************************************************



Best trading to all,

Qwerty
 
to acko2001

Hi acko,

you're right, I just realized I didn't post the results of that. Closed FTSE trade at -65 points and CAC trade at -60 points. What you see is that from +602 points now shows +477, so that indicates a loss there, but I just don't get why I didn't post each trade's results, thank you very much for pointing that out, I really appreciate it.

Best regards,

Qwerty
 
spot fx open trade for gbp/usd

Hi,

trade closed at 1.8624 +84 pips (half size trade, so +42 pips normal size). Fairly easy trade that was above 100 pips profit at one stage, but that didn't manage to break above 1.8650 and was closed when it broke down the referece level of 1.8628.

Trading update later today.

Best regards,

Qwerty
 
update, 9/2/2005

Here is my trading update:

==============
1. Spot Forex
==============

Account initial balance : USD5,000
Account current equity (closed trades 24/1): USD 15,385 +207.70%


TRADE CLOSED:
1. Long Gbp/Usd @ 1.8540, closed at 1.8624 (+84 half the size, +42 normal)

Technically speaking : I will wait for the trade deficit number tomorrow to take further actions. I won't enter any trade nor bet on majors and major crosses for tomorrow. However, and talking about the crosses, selling Eur/Chf could yield nicely in coming sessions.

===============
2. BetonMarkets.com
===============

Account initial balance : USD2,000
Account current equity (closed bets 27/01): USD 3,306.8 +65,3%


****flat now*****

========================
3. CFD's & Index Futures
========================

Account initial balance : USD13,000
Account current equity : USD 21,293 +63,80% (CFD's only) (as of trades closed, last date 07/02/2005)


===CFD's======

**** flat now ****

===Index Futures=====

Monitoring open trades :

**** flat now ****

Index Futures' cumulated points (since 17/12/2004) : +477p (this result does not count for the overall portfolio performance)



**************************************************




*******GLOBAL DATA & PORTFOILIO PERFORMANCE ********
**************************************************

Initial capital : USD 20,000 (start of december, 2004)
Current equity : USD 37,002.7 +85,01% (8/2/2004) (Index Futures not included)


**************************************************



Best trading to all,

Qwerty
 
update, 10/2/2005

Here is my trading update:

==============
1. Spot Forex
==============

Account initial balance : USD5,000
Account current equity (closed trades 24/1): USD 15,385 +207.70%


TRADE OPEN:
1. Short Eur/Chf 1.5565, stop 1.57, target 1.5285


Technically speaking : --

===============
2. BetonMarkets.com
===============

Account initial balance : USD2,000
Account current equity (closed bets 27/01): USD 3,306.8 +65,3%


****flat now*****

========================
3. CFD's & Index Futures
========================

Account initial balance : USD13,000
Account current equity : USD 21,293 +63,80% (CFD's only) (as of trades closed, last date 07/02/2005)


===CFD's======

**** flat now ****

===Index Futures=====

Monitoring open trades :

**** flat now ****

Index Futures' cumulated points (since 17/12/2004) : +477p (this result does not count for the overall portfolio performance)


**************************************************




*******GLOBAL DATA & PORTFOILIO PERFORMANCE ********
**************************************************

Initial capital : USD 20,000 (start of december, 2004)
Current equity : USD 37,212.7 +86,06% (9/2/2004) (Index Futures not included)


**************************************************



Best trading to all,

Qwerty
 
update, 13/2/2005

Here is my trading update:

==============
1. Spot Forex
==============

Account initial balance : USD5,000
Account current equity (closed trades 24/1): USD 15,385 +207.70%


NEW TRADE OPEN:
1. Short Aud/Jpy 83.00, stop 86, target 79

Monitoring Open Trades :
1. Short Eur/Chf 1.5565, stop 1.57, target 1.5285


Technically speaking : --

===============
2. BetonMarkets.com
===============

Account initial balance : USD2,000
Account current equity (closed bets 27/01): USD 3,306.8 +65,3%


****flat now*****

========================
3. CFD's & Index Futures
========================

Account initial balance : USD13,000
Account current equity : USD 21,293 +63,80% (CFD's only) (as of trades closed, last date 07/02/2005)


===CFD's======

NEW TRADES OPEN:
1. Short AT&T (US CFD) @ 19.5, stop 25, target 11.8
2. Short Apple (US CFD) @ 81.21, stop 86, target 74
3. Short AIr Porducts & Chemicals (US CFD) @ 60.70, stop 64, target 51
4. Short American Electric Power (US CFD) @ 34.70, stop 37, target 31
5. Short BA Tobacco (UK CFD) @ 987pence, stop 1100, target 860
6. Short Billiton (UK CFD) @ 681pence, stop 750, target 580
7. Short Imperial Tobacco New (UK CFD) @ 1.465p, stop 1.600, target 1.000
8. Short Legal and General (UK CFD) @ 118p, stop 125, target 108

===Index Futures=====

European Indices offer a VERY GOOD chance for shorting in coming sessions. They should yield nicely on short positions (all of them).

Index Futures' cumulated points (since 17/12/2004) : +477p (this result does not count for the overall portfolio performance)


**************************************************




*******GLOBAL DATA & PORTFOILIO PERFORMANCE ********
**************************************************

Initial capital : USD 20,000 (start of december, 2004)
Current equity : USD 37,212.7 +86,06% (9/2/2004) (Index Futures not included)


**************************************************



Best trading to all,

Qwerty
 
update, 14/2/2005

Here is my trading update:

==============
1. Spot Forex
==============

Account initial balance : USD5,000
Account current equity (closed trades 14/2): USD 15,905 +218.10%


ALL TRADES CLOSED:
1. Short Aud/Jpy 83.00 closed 82.40 +60 +$280(went to 82.19 low)
2. Short Eur/Chf 1.5565 1.5535 +30 +$240


***** flat now *****

===============
2. BetonMarkets.com
===============

Account initial balance : USD2,000
Account current equity (closed bets 27/01): USD 3,306.8 +65,3%


****flat now*****

========================
3. CFD's & Index Futures
========================

Account initial balance : USD13,000
Account current equity : USD 21,543 +65,80% (CFD's only) (as of trades closed, last date 14/02/2005)


===CFD's======

CLOSED TRADES:
1. Short Air Porducts & Chemicals (US CFD) @ 60.70, closed 60.20 0,85%
NEW TRADES OPEN:
1. Short AT&T (US CFD) @ 19.5, stop 25, target 11.8
2. Short Apple (US CFD) @ 81.21, stop 89, target 74
3. Short American Electric Power (US CFD) @ 34.70, stop 37, target 31
4. Short BA Tobacco (UK CFD) @ 987pence, stop 1100, target 860
5. Short Billiton (UK CFD) @ 681pence, stop 750, target 580
6. Short Imperial Tobacco New (UK CFD) @ 1.465p, stop 1.600, target 1.000
7. Short Legal and General (UK CFD) @ 118p, stop 125, target 108

===Index Futures=====

European Indices offer a VERY GOOD chance for shorting in coming sessions. They should yield nicely on short positions (all of them). I hold this view!

Index Futures' cumulated points (since 17/12/2004) : +477p (this result does not count for the overall portfolio performance)


**************************************************




*******GLOBAL DATA & PORTFOILIO PERFORMANCE ********
**************************************************

Initial capital : USD 20,000 (start of december, 2004)
Current equity : USD 37,982.7 +90% (14/2/2004) (Index Futures not included)


**************************************************



Best trading to all,

Qwerty
 
update, 15/2/2005

Here is my trading update:

==============
1. Spot Forex
==============

Account initial balance : USD5,000
Account current equity (closed trades 14/2): USD 15,905 +218.10%


***** flat now *****

===============
2. BetonMarkets.com
===============

Account initial balance : USD2,000
Account current equity (closed bets 27/01): USD 3,306.8 +65,3%


****flat now*****

========================
3. CFD's & Index Futures
========================

Account initial balance : USD13,000
Account current equity : USD 21,758 +67,52% (CFD's only) (as of trades closed, last date 15/02/2005)


===CFD's======

CLOSED TRADES:
1. Short Legal and General (UK CFD) @ 118p, closed 116.25 -flat-
2. Short BA Tobacco (UK CFD) @ 987pence, closed 975 +115$
3. Short AT&T (US CFD) @ 19.5, closed 19.30 +100$
NEW TRADES OPEN:
1. Short Apple (US CFD) @ 81.21, stop 89, target 74
2. Short American Electric Power (US CFD) @ 34.70, stop 37, target 31
3. Short Billiton (UK CFD) @ 681pence, stop 750, target 580
4. Short Imperial Tobacco New (UK CFD) @ 1.465p, stop 1.600, target 1.000

===Index Futures=====

European Indices offer a VERY GOOD chance for shorting in coming sessions. They should yield nicely on short positions (all of them). I hold this view!

Index Futures' cumulated points (since 17/12/2004) : +477p (this result does not count for the overall portfolio performance)


**************************************************




*******GLOBAL DATA & PORTFOILIO PERFORMANCE ********
**************************************************

Initial capital : USD 20,000 (start of december, 2004)
Current equity : USD 38,195.7 +91.48% (15/2/2004) (Index Futures not included)


**************************************************



Best trading to all,

Qwerty
 
update, 16/2/2005

Here is my trading update:

==============
1. Spot Forex
==============

Account initial balance : USD5,000
Account current equity (closed trades 14/2): USD 15,905 +218.10%


***** flat now *****

>> Those who follow me intraday enjoyed big gains today.

===============
2. BetonMarkets.com
===============

Account initial balance : USD2,000
Account current equity (closed bets 27/01): USD 3,306.8 +65,3%


****flat now*****

========================
3. CFD's & Index Futures
========================

Account initial balance : USD13,000
Account current equity : USD 20,408 +57,02% (CFD's only) (as of trades closed, last date 16/02/2005)


===CFD's======

CLOSED TRADES:

1. Short American Electric Power (US CFD) @ 34.70, closed @ 34.4 +150$
2. Short Apple @ 81, closed @ 87.5 -1,500$ (risky trade that turned into a severe loss. Fortunately these type of trades will only ever be entered when I'm in good and solid profits ...)

Monitoring Open trades :
1. Short Billiton (UK CFD) @ 681pence, stop 750, target 580
2. Short Imperial Tobacco New (UK CFD) @ 1.465p, stop 1.600, target 1.000

===Index Futures=====

European Indices offer a VERY GOOD chance for shorting in coming sessions. They should yield nicely on short positions (all of them). I hold this view! (though markets are very rough for contra trading at the moment ... my time will come, no doubt about that). NO real signals as of yet though.

Index Futures' cumulated points (since 17/12/2004) : +477p (this result does not count for the overall portfolio performance)

**************************************************




*******GLOBAL DATA & PORTFOILIO PERFORMANCE ********
**************************************************

Initial capital : USD 20,000 (start of december, 2004)
Current equity : USD 36,845.7 +84.25% (16/2/2004) (Index Futures not included)


**************************************************



Best trading to all,

Qwerty
 
weekend update, plus special GIFTS!

Hi everybody,

quick update and some recent trades .. plus some special gifts, if you think you deserve 'em :-D. (tomorrow I will place the usual and detailed update).

Spot Forex :

1. Short gbp/jpy 200.20, stop 201, target 199 , adding at 200.65/75 and/or 199.91
2. Entry limit SELL chf/jpy 88.91, stop 89.81, target 86
3. Entry limit SELL eur/jpy 137.81, stop 138.81, target 136
4. Entry limit BUY usd/chf 1.1860, stop 1.1750, target 1.29
5. Entry limit SELL usd/jpy 105.35, stop 106.35, target 103

Best trading to all,

Qwerty
 
update, 22/2/05

Here is my trading update:

==============
1. Spot Forex
==============

Account initial balance : USD5,000
Account current equity (closed trades 14/2): USD 15,905 +218.10%


NEW TRADES
1. Short Nzd/Usd 0.7280, stop 0.7340, target 0.7220
2. Short Eur/Usd 1.3261 going for 15-20 pips (scalping trade)
3. Short gbp/usd 1.9117 going for 15-20 pips (scalping trade)
4. Long Usd/Chf 1.1585 going for 15-20 pips (scalping trade)
>> Bonus trade, and for those who can follow it closely : short eur/gbp. Unfortunately last day's bonus trades did not even get close to the entry levels, so be cautious with them :).


===============
2. BetonMarkets.com
===============

Account initial balance : USD2,000
Account current equity (closed bets 27/01): USD 3,306.8 +65,3%


****flat now*****

========================
3. CFD's & Index Futures
========================

Account initial balance : USD13,000
Account current equity : USD 20,753 +60%(CFD's only) (as of trades closed, last date 22/02/2005)


===CFD's======

CLOSED TRADES:
1. Short Billiton (UK CFD) @ 681pence closed @ 711 -285$
2. Short Imperial Tobacco New (UK CFD) @ 1.465p, closed on trailing limit @1.399 +630$

OPEN TRADES:
1. Be careful, Short BOC Group (UK CFD) @ 1012p, stop 1090, target 910

**** flat now ****

===Index Futures=====

Finally they followed my predictions and at least some of the europeans and US dipped to yield nicely to the shorts.

**** flat now ****

Index Futures' cumulated points (since 17/12/2004) : +477p (this result does not count for the overall portfolio performance)


**************************************************




*******GLOBAL DATA & PORTFOILIO PERFORMANCE ********
**************************************************

Initial capital : USD 20,000 (start of december, 2004)
Current equity : USD 37,190.7 +86% (22/2/2004) (Index Futures not included)


**************************************************



Best trading to all,

Qwerty
 
spot forex trades CLOSED

Hi everyone,

the following trades have been closed :

1. Short Nzd/Usd 0.7280, closed @ 0.7205 +75 pips
2. Short Eur/Usd 1.3261 going for 15-20 pips (scalping trade) +20pips
3. Short gbp/usd 1.9117 going for 15-20 pips (scalping trade) +20 pips
4. Long Usd/Chf 1.1585 going for 15-20 pips (scalping trade) +20 pips

total : +135 pips

Will update everything later.

Qwerty
 
update, 23/2/2005

Here is my trading update:

==============
1. Spot Forex
==============

Account initial balance : USD5,000
Account current equity (closed trades 23/2): USD 16,565 +231.30%


CLOSED TRADES

1. Short Nzd/Usd 0.7280 @ 0.7205 +75p = +375$
2. Short Eur/Usd 1.3261 +20 pips = +100$
3. Short gbp/usd 1.9117 +20 pips = +100$
4. Long Usd/Chf 1.1585 +20 pips = +85$

total : +660$

**** flat now *****

===============
2. BetonMarkets.com
===============

Account initial balance : USD2,000
Account current equity (closed bets 27/01): USD 3,306.8 +65,3%


****flat now*****

========================
3. CFD's & Index Futures
========================

Account initial balance : USD13,000
Account current equity : USD 20,916 +61%(CFD's only) (as of trades closed, last date 23/02/2005)


===CFD's======

CLOSED TRADE:
1. Short BOC Group (UK CFD) @ 1012p - closed @995 = +163$

**** flat now ****

===Index Futures=====

**** flat now ****

Index Futures' cumulated points (since 17/12/2004) : +477p (this result does not count for the overall portfolio performance)

**************************************************




*******GLOBAL DATA & PORTFOILIO PERFORMANCE ********
**************************************************

Initial capital : USD 20,000 (start of december, 2004)
Current equity : USD 38,013.7 +90% (23/2/2004) (Index Futures not included)


**************************************************



Best trading to all,

Qwerty
 
spot fx trades

Hi,

just opened :

1. Short gbp/jpy 201.42, stop 202.92, target 200
2. Short eur/jpy 139.17, stop 140.17, target 138
3. Short gbp/usd 1.9101, stop 1.9201, target 1.87
4. Short aud/cad 0.9761, stop 0.99, target 0.9561
5. Short chf/jpy 90.15, stop 91.35, target 88.96

Comments : All these trades are what I call "early trades" .. what does this mean? it means that I have traded them before full signal confirmation with price action. It is my opinion that things will go my way, but taking these trades blindly without confirmation is risky. I thought I had to say this to prevent anyone from duplicating these trades, I really don't recommend them unless you have a good pips cushion to support losses (similar to the "hint" I gave for shorting eur/gbp, but not fully recommending it, I'm cautious when posting here believe it or not). But I took them myself indeed. :)))

Best trading to all,

Qwerty
 
Top