update, 13/2/2005
Here is my trading update:
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1. Spot Forex
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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 : --
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2. BetonMarkets.com
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Account initial balance : USD2,000
Account current equity (closed bets 27/01): USD 3,306.8 +65,3%
****flat now*****
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3. CFD's & Index Futures
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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)
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*******GLOBAL DATA & PORTFOILIO PERFORMANCE ********
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Initial capital : USD 20,000 (start of december, 2004)
Current equity : USD 37,212.7 +86,06% (9/2/2004) (Index Futures not included)
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Best trading to all,
Qwerty