I'm posting here each trade, from First trade to the last one, where i entered and i exited.
For Tuesday, the trades were :
1/Go short on EUR/USD at 1.3636 and exit at 1.3560 for T.P. and 1.3690 for S.L.
T.P. reached, profit of 76 pips - 2 pips spread = +74 pips
2/Go short on EUR/JPY at 133.38, exit at 133.05 for T.P. and 134.15 for S.L.
T.P. reached, profit of 33 pips - 2 pips spread = +31 pips
For Tuesday (First day): profit of 105 pips.
For Wednesday, the trades were :
1/Go short on EUR/USD at 1.3470 and exit at 1.3435
T.P. reached, profit of 35 pips - 2 pips spread = +33 pips
2/Go short on GBP/USD at 1.4870 and exit at 1.4825
T.P. reached, profit of 45 pips - 3 pips spread = +42 pips
3/Go long on EUR/AUD at 1.9360, T.P. at 1.9390
T.P. reached, profit of 30 pips - 6 pips spread = +24 pips
4/Go long on EUR/USD at 1.3510 and exit at 1.3540
I closed the trade of EUR/USD at 1.3470, a loss of 40pips + 2 spread pips= -42 pips
33+42+24-42=57 pips
For Wednesday (Second day): profit of 57 pips.
For Thursday, the trades were :
1/Go short on GBP/AUD at 2.0825 and exit at 2.0750 for T.P. and 2.0915 for S.L.
T.P. reached, profit of 85 pips - 6 pips spread = +79 pips
2/Go long on GBP/CHF at 1.6405 and exit at 1.6462 for T.P. and 1.6322 for S.L.
I Closed the GBP/CHF trade at 1.6360 a loss of 45 pips + 6 spread pips = -51 pips
3/Go short on GBP/CAD at 1.7916 and exit at 1.7860 for T.P. and 1.7999 for S.L.
I Extended the T.P. of GBP/CAD to 1.7839
T.P. reached, profit of 77 pips - 6 pips spread = +71 pips
4/Go short on EUR/USD at 1.3570 and exit at 1.3535
I closed the trade of EUR/USD at 1.3619, a loss of 49pips + 2 spread pips= -51 pips
5/Go short on GBP/USD at 1.4566 and exit at 1.4516 and S.L. at 1.4636
T.P. reached, profit of 50 pips - 3 pips spread = +47 pips
6/Go long on EUR/USD at 1.3619 and exit at 1.3645
I closed the trade of EUR/USD at 1.3547, a loss of 72pips + 2 spread pips= -74 pips
7/Go long on USD/JPY at 98.60 and Exit at 98.87
I closed the USD/JPY trade at 98.56, a loss of 4 pips + 2 spread pips= -6 pips
8/Go long on USD/CHF at 1.2185 and Exit at 1.1315
I closed the USD/CHF trade at 1.2170, a loss of 15 pips + 3 spread pips= -18 pips
9/Go short on GBP/JPY at 142.66 and exit at 142.10 and S.L. at 143.56
T.P. reached, profit of 56 pips - 7 pips spread = +49 pips
10/Go short on EUR/JPY at 133.30
I closed the EUR/JPY trade at 133.35, a loss of 5 pips + 2 spread pips= -7 pips
79-51+71-51+47-74-6-18+49-7=39 pips
For Thursday (Third day): profit of 39 pips. ( i missed to put here a profitable trade on EUR/JPY that made 11 pips, spread excluded)
For Friday, the trades were :
1/Go short on GBP/CHF at 1.6257 and exit at 1.6225
I closed the trade of GBP/CHF at 1.6283, a loss of 26 pips + 6 spread pips= -32 pips
2/Go short on GBP/USD at 1.4441 and exit at 1.4400
I Extended the T.P. of GBP/USD to 1.4396 and was reached
T.P. reached, profit of 45 pips - 3 pips spread = +42 pips
3/Go short on EUR/USD at 1.3549 and exit at 1.3519
T.P. reached, profit of 30 pips - 2 pips spread = +28 pips
4/Go short on GBP/AUD at 2.0635
I Exited from GBP/AUD trade at 2.0550
T.P. reached, profit of 85 pips - 7 pips spread = +78 pips
5/Go short on EUR/AUD at 1.9357
I Exited from EUR/AUD trade at 1.9317
T.P. reached, profit of 40 pips - 6 pips spread = +34 pips
6/Go short on EUR/CAD at 1.6644 ans exit at 1.6611
T.P. reached, profit of 33 pips - 6 pips spread = +27 pips
7/Go long on GBP/CHF at 1.6307 and exit at 1.6354
I closed the trade of GBP/CHF at 1.6345, a profit of 38 pips - 6 spread pips= +32 pips
-32+42+28+78+34+27+32=57 pips
For Friday (Forth day): profit of 209 pips.
So, for this week 105+57+39+209= 410 pips (102/day in average)
Hope this help.
See you next week.