my only trade of the day.
AU 5m
risked 6.5 pips, covered 50% @ 10.5, 25% @ 18.8 and left last 1/4 to run with SL to BE.
If you want to know why I take this trade just ask and I will deliver.
Fugs.
my second and probably my last trade for the day: risked 7.9, made 8.3 and covered 2/3 and moved SL to BE.
Today not easy day to trade, the minutes is on the US.
Covered my last 1/4 @ +45.7, I have to admit that was a good trade, caught the high of the day, trade closed just 1m before news.
I like to make money while a sleep.
I cannot get in the flow of things.....so I am on the sideline.....must be the heat, 36 today...
The Eur/Usd looks to be bottoming out.
my long time trades on eu: +335, +208 and +92, my SL's are +200, +100 and BE and non (edit) partial profit were taken, I am looking for 1.01, stopped or close all before Christmas, if it moves in my direction I will be adding more.
bulls had a decent day......bottoming out? We see...
two trades today:
first trade was a loss of -4.2 pips, a bit naive here, I took the trade prior of the two red news, why? Fear of missing another push down in a strong bear. Smart bears were sitting above.
second trade, soon after the second news (positive) prices reached the previous day low, here I entered scaling down on the 1m tf: covered 2/4 @ +10 and 1/4 @ +18.2 (technical) SL is @ BE.
Seems she is going to trigger my SL.......well cannot control that.
I had a signal to go short AU but did not take it, it is making HL's into range.....I might be wrong.....