Featured
Platform used for these updates is Interbank FX Trader:
Time
Frame – GMT.
Currency
pair traded GBPUSD
Gross
profit exits (including spread) are targeted as follows:
Target
1 (T1) = 20 pips
Target 2 (T2) = 29 pips
Target 3 (T3) = 49 pips
Target 4 (T4) = 99 pips
Target 5 (T5) = 20:00hrs or closed by stop loss.
Our
bespoke staking strategy is applied to daily trades ensuring
losses are smoothed out while maximising winning trades.
Trading
summary for December 2008:
Monday
1st: 08:00 Sell at 1.5251 closed at 20:15. Result: T1
T2 T3 T4 +337 pips residual.
Tuesday 2nd:
08:20 Sell at 1.4801 closed at 11:00. Result: Break even
exit. 12:30 Buy at 1.4975 closed at 16:15. Result: T1
T2 T3 -81 pips residual.
Wednesday
3rd: 08:30 Sell at 1.4821 closed at 14:45. Result: T1
T2 T3 T4 +32 pips residual.
Thursday
4th: Day before Big News Friday - Non trading day
Friday 5th:
News Trade - Break even exit taken at 15:45
Monday 8th:
07:30 Buy at 1.4902 closed at 10:35. Result: T1 T2 T3
T4 -7 pips residual. 12:00 Sell at 1.4833 closed at 19:00.
Result: T1 T2 T3 -27 pips residual.
Tuesday 9th:
08:30 Sell at 1.4754 closed at 11:15. Result: Break even
exit. 15:40 Buy at 1.4860 closed at 19:15. Result: T1
T2 -63 pips residual.
Wednesday
10th: No trades
Thursday
11th: 12:20 Sell at 1.4864 closed at 16:50. Result: -134
pips.
Friday 12th:
07:30 Sell at 1.4905 closed at 12:30. Result: T1 T2 T3
-49 pips residual. 13:45 Buy at 1.4991 closed at 15:15.
Result: T1 T2 -86 pips residual.
Monday 15th:
09:15 Sell at 1.4999 closed at 13:00. Result: T1 T2 T3
-34 pips residual. 13:30 Buy at 1.5123 closed at 21:00.
Result: T1 T2 T3 T4 +176 pips residual.
Tuesday 16th:
12:50 Buy at 1.5343 closed at 16:00. Result: T1 T2 -55
pips residual.
Wednesday
17th: 08:10 Sell at 1.5536 closed at 15:05. Result: T1
T2 T3 T4 +34 pips residual.
Thursday
18th: 07:50 Sell at 1.5363 closed at 12:50. Result: Break
even exit.
Friday 19th:
07:30 Sell at 1.5063 closed at 09:30. Result: T1 T2 T3
-13 pips residual.
Monday 22nd:
09:00 Sell at 1.4848 closed at 17:00. Result: T1 T2 T3
T4 +48 pips residual.
Tuesday 23rd:
08:30 Buy at 1.4880 closed at 09:35. Result: -91 pips.
09:35 Sell at 1.4780 closed at 13:00. Result: T1 -50 pips
residual.
Wednesday
24th: Durable Orders Day - Non Trading
Thursday
25th: Christmas Day - Non trading day
Friday 26th:
Boxing Day - Non trading day
Monday 29th:
07:45 Buy at 1.4765 closed at 10:20. Result: -86 pips.
10:20 Sell at 1.4659 closed at 19:45. Result: T1 T2 T3
T4 +86 pips residual.
Tuesday 30th:
08:10 Buy at 1.4535 closed at 13:20. Result: -91 pips.
13:05 Sell at 1.4438 closed at 15:50. Result: Break even
exit.
Wednesday
31st: 07:15 Buy at 1.4483 closed at 10:00. Result: Break
even exit.
Trading
summary for November 2008:
Monday
3rd: 11:05 Sell at 1.6194 closed at 21:00. Result: T1
T2 T3 T4 profit +350 pips residual.
Tuesday 4th:
08:25 Buy at 1.5797 closed at 19:30. Result: T1 T2 T3
T4 +169 pips residual.
Wednesday
5th: 11:45 Buy at 1.5929 closed at 17:45. Result: T1 T2
T3 T4 +58 pips residual.
Thursday
6th: The day before Big News Friday - A day we prefer
not to trade.
Friday 7th:
News Trade didn't trigger.
Monday 10th:
11:15 Buy at 1.5824 closed at 14:55. Result: -141 pips.
Tuesday 11th:
08:00 Sell at 1.5558 closed at 13:30. Result: Break even
exit.
Wednesday
12th: 08:00 Sell at 1.5409 closed at 21:00. Result: T1
T2 T3 T4 +467 pips residual.
Thursday
13th: 07:30 Sell at 1.4826 closed at 09:15. Result: 136
pips. 09:15 Buy at 1.4974 closed at 13:35. Result: 133
pips.
Friday 14th:
No Trades.
Monday 17th:
09:15 Buy at 1.4897 closed at 21:00. Result: T1 T2 T3
T4 +116 pips residual.
Tuesday 18th:
07:30 Buy at 1.5038 closed at 09:15. Result: T1 T2 T3
-20 pips residual. 09:50 Sell at 1.4958 closed at 16:40.
Result: -73 pips.
Wednesday
19th: 10:30 Buy at 1.5035 closed at 16:30. Result: T1
T2 T3 T4 -3 pips residual.
Thursday
20th: 08:00 Sell at 1.4881 closed at 14:30. Result: T1
T2 T3 +7 pips residual.
Friday 21st:
07:30 Buy at 1.4881 closed at 15:00. Result: T1 T2 T3
T4 +39 pips residual. 15:00 Sell at 1.4915 closed at 20:45.
Result: T1 T2 T3 T4 +55 pips residual.
Monday 24th:
10:10 Buy at 1.5001 closed at 21:00. Result: T1 T2 T3
T4 +147 pips residual.
Tuesday 25th:
08:25 Buy at 1.5164 closed at 10:30. Result: -98 pips.
10:30 Sell at 1.5052 closed at 13:40. Result: Break -102
pips. 13:45 Buy at 1.5206 closed at 21:00. Result: T1
T2 T3 T4 +286 pips residual.
Wednesday
26th: Durable Orders Day - No trading
Thursday
27th: 09:40 Buy at 1.5446 closed at 14:30. Result: T1
T2 T3 -41 pips residual.
Friday 28th:
09:30 Sell at 1.5369 closed at 13:45. Result: T1 T2 T3
T4 -4 pips residual.
Trading
summary for October 2008:
Wednesday
1st: 12:05 Sell at 1.7745 closed at 15:30. Result: T1
T2 T3 T4 profit -6 pips residual.
Thursday
2nd: Day before Big News Friday - A day we prefer not
to trade.
Friday
3rd: News Trade Result: T1 T2 T3 T4 profit -23 pips residual.
Monday
6th: 06:30 Sell at 1.7558 closed at 10:40. Result: -30
pips. 10:40 Buy at 1.7614 closed at 13:25.Result: -75
pips. 14:45 Sell at 1.7415 closed at 20:00. Result: T1
T2 T3 profit -46 pips residual.
Tuesday
7th: 07:30 Sell at 1.7432 closed at 11:30. Result: T1
T2 T3 T4 profit -23 pips residual.
Wednesday
8th: 12:05 Buy at 1.7621 closed at 07:45. Result: T1 -80
pips residual. 09:35 Sell at 1.7436 closed at 13:05. Result:
Break even exit.
Thursday
9th: 08:00 Buy at 1.7305 closed at 10:30. Result: T1 T2
T3 profit -27 pips residual.
Friday
10th: 06:45 Buy at 1.6968 closed at 15:00. Result: T1
T2 T3 T4 profit +50 pips residual.
Monday
13th: 06:30 Buy at 1.7200 closed at 17:00. Result: T1
T2 T3 T4 profit +103 pips residual.
Tuesday
14th: 07:30 Sell at 1.7446 closed at 07:45. Result: T1
T2 profit -54 pips residual. 08:15 Buy at 1.7554 closed
at 14:15. Result: T1 T2 T3 profit -15 pips residual.
Wednesday
15th: 09:40 Buy at 1.7518 closed at 15:00. Result: T1
T2 T3 -64 pips residual.
Thursday
16th: 07:00 Sell at 1.7201 closed at 13:15. Result: Break
even exit.
Friday
17th: 06:30 Buy at 1.7361 closed at 09:00. Result: T1
-80 pips residual. 08:00 Sell at 1.7273 closed at 09:45.
Result: T1 profit -50 pips residual.
Monday
20th: 06:30 Buy at 1.7453 closed at 10:45. Result: T1
T2 T3 profit -24 pips residual. 10:45 Sell at 1.7418 closed
at 20:00. Result: T1 T2 T3 T4 +254 pips residual
Tuesday
21st: 06:30 Sell at 1.7711 closed at 19:00. Result: T1
T2 T3 T4 profit +87 pips residual.
Wednesday
22nd: 09:00 Buy at 1.6410 closed at 12:30. Result: Break
even exit.
Thursday
23rd: 06:30 Buy at 1.6327 closed at 11:10. Result: -30
pips. 11:10 Sell at 1.6189 closed at 15:00. Result: T1
T2 T3 T4 profit -9 pips residual.
Friday
24th: 06:30 Buy at 1.5929 closed at 12:45. Result: T1
T2 T3 T4 +273 pips residual. 13:45 Buy at 1.5685 closed
at 20:00. Result T1 T2 T3 T4 +217 pips residual.
Monday
27th: 07:45 Sell at 1.5414 closed at 13:30. Result: T1
T2 T3 T4 profit -57 pips residual.
Tuesday
28th: No trades.
Wednesday
29th: Durable Orders Day - No trading day.
Thursday
30th: 09:30 Sell at 1.6510 closed at 10:15. Result: T1
T2 T3 T4 profit -55 pips residual.
Friday
31st: 07:30 Sell at 1.6152 closed at 10:15. Result T1
profit plus break even exit on residual.
Trading
summary for September 2008:
Monday 1st:
07:00 Buy at 1.8080 closed at 08:40. Result: -72 pips.
08:45 Sell at 1.7997 closed at 15:00. Result: Break even
exit
Tuesday 2nd:
06:50 Sell at 1.7858 closed at 12:15. Result: T1 T2 T3
profit +1 pip residual.
Wednesday
3rd: 06:30 Sell at 1.7723 closed at 10:00. Result: T1
T2 T3 profit +4 pips residual. 11:00 Buy at 1.7733 closed
at 15:15. Result: T1 T2 T3 profit +14 pips residual.
Thursday
4th: No Trading
Friday 5th:
News Trade Result: T1 T2 profit -51 pips residual.
Monday 8th:
07:10 Sell at 1.7753 closed at 20:00. Result: T1 T2 T3
T4 profit +163 pips residual.
Tuesday 9th:
07:45 Buy at 1.7622 closed at 13:15. Result: T1 T2 profit
-46 pips residual.
Wednesday
10th: 09:45 Sell at 1.7565 closed at 17:00. Result: T1
profit -22 pips residual.
Thursday
11th: 09:15 Sell at 1.7470 closed at 10:15. Result: T1
profit -30 pips residual. 11:45 Buy at 1.7562 closed at
14:00. Result: T1 profit -48 pips residual.
Friday 12th:
06:30 Buy at 1.7637 closed at 11:45. Result: T1 T2 T3
profit +19 pips residual. 12:50 Buy at 1.7746 closed at
20:00. Result: T1 T2 T3 T4 profit +196 pips residual.
Monday 15th:
07:15 Sell at 1.7976 closed at 14:15. Result: T1 T2 T3
T4 profit +54 pips residual.
Tuesday 16th:
09:20 Sell at 1.7889 closed at 12:15. Result: T1 T2 T3
T4 profit +48 pips residual.
Wednesday
17th: 06:30 Buy at 1.7904 closed at 08:00. Result: T1
T2 T3 profit -47 pips residual. 08:35 Sell at 1.7806 closed
at 14:45. Result: -131 pips
Thursday
18th: 07:00 Sell at 1.8177 closed at 08:30. Result: T1
T2 T3 profit -43 pips residual.
Friday 19th:
07:30 Sell at 1.7948 closed at 11:15. Result: T1 T2 profit
-61 pips residual. 12:05 Buy at 1.8079 closed at 20:00.
Result: T1 T2 T3 T4 profit +274 pips residual.
Monday 22nd:
07:30 Buy at 1.8397 closed at 12:30. Result: T1 T2 T3
profit -17 pips residual.
Tuesday 23rd:
06:50 Sell at 1.8508 closed at 09:30. Result: T1 profit
-42 pips residual. 09:45 Buy at 1.8586 closed at 12:00.
Result: T1 T2 profit -28 pips residual. 12:15 Sell at
1.8501 closed at 17:15. Result: Break even exit
Wednesday
24th: 08:05 Sell at 1.8606 closed at 12:05. Result: -78
pips.
Thursday
25th: Durable Orders Day a day we prefer not to trade.
Friday 26th:
06:45 Sell at 1.8365 closed at 09:00. Result: T1 profit
-34 pips residual. 11:05 Buy at 1.8426 closed at 14:00.
Result: Break even exit.
Monday 29th:
06:30 Sell at 1.8219 closed at 13:45. Result: T1 T2 T3
T4 profit +152 pips residual.
Tuesday 30th:
07:30 Buy at 1.8097 closed at 08:45. Result: Break even
exit. 14:40 Sell at 1.8219 closed at 20:00. Result: T1
T2 T3 T4 profit +175 pips residual.
Trading
summary for August 2008:
Friday 1st:
Big News Friday - News Trade didn't trigger and was subsequently
removed.
Monday 4th:
06:30 Sell at 1.9700 closed at 14:00. Result: T1 T2 profit
+1 pip residual. 14:15 Buy at 1.9704 closed at 15:05.
Result: -52 pips.
Tuesday 5th:
06:45 Sell at 1.9551 closed at 09:45. Result: T1 profit
-26 pips residual.
Wednesday
6th: 06:45 Buy at 1.9593 closed at 08:40. Result: -55
pips. 08:40 Sell at 1.9529 closed at 20:00. Result: T1
T2 T3 profit +59 pips residual.
Thursday
7th: 06:30 Buy at 1.9526 closed at 12:55. Result: -51
pips. 12:55 Sell at 1.9466 closed at 20:00. Result: T1
T2 profit +40 pips residual.
Friday 8th:
07:25 Sell at 1.9246 closed at 18:00. Result: T1 T2 T3
profit +33 pips residual.
Monday 11th:
08:00 Buy at 1.9252 closed at 15:00. Result: -95 pips.
Tuesday 12th:
07:55 Buy at 1.9078 closed at 09:00. Result: -95 pips
NB: Pulling the S/L tighter prior to the news announcements
was advised and would have reduced the loss considerably.
Wednesday
13th: 07:15 Buy at 1.9027 closed at 09:45. Result: -122
pips. NB: Pulling the S/L tighter prior to the news announcements
was advised and would have reduced the loss considerably.
09:45 Sell at 1.8888 closed at 18:00. Result: T1 T2 T3
T4 profit +162 pips residual.
Thursday
14th: No trades.
Friday 15th:
06:30 Sell at 1.8591 closed at 11:15. Result: T1 T2 profit
-2 pips residual. 11:15 Buy at 1.8599 closed at 14:00.
Result: T1 T2 T3 profit -21 pips residual.
Monday 18th:
11:00 Sell at 1.8651 closed at 17:00. Result: -40 pips.
Tuesday 19th:
10:30 Buy at 1.8615 closed at 12:45. Result: T1 profit
-95 pips residual.
Wednesday
20th: 06:30 Sell at 1.8618 closed at 13:00. Result: T1
T2 T3 profit +23 pips residual. 13:00 Buy at 1.8608 closed
at 15:00. Result: T1 T2 profit -24 pips residual.
Thursday
21st: 16:30 Buy at 1.8698 closed at 10:40. Result: -74
pips.
Friday 22nd:
07:10 Sell at 1.8732 closed at 20:00. Result: T1 T2 T3
T4 profit +220 pips residual.
Monday 26th:
07:10 Buy at 1.8475 closed at 17:30. Result: T1 T2 T3
T4 profit +59 pips residual.
Tuesday 27th:
06:45 Sell at 1.8415 closed at 08:00. Result: -52 pips.
08:15 Sell at 1.8358 closed at 14:45. Result: -32 pips.
Wednesday
28th: 06:30 Sell at 1.8416 closed at 10:30. Result: -52
pips. 10:30 Buy at 1.8475 closed at 14:00. Result: -60
pips. 14:00 Sell at 1.8409 closed at 20:00. Result: T1
T2 T3 T4 profit +59 pips residual.
Thursday
29th: 14:15 Sell at 1.8332 closed at 20:00. Result: T1
T2 T3 profit +35 pips residual.
Friday 29th:
06:45 Sell at 1.8266 closed at 12:45. Result: -47 pips.
13:50 Sell at 1.8240 closed at 20:00. Result: T1 T2 T3
profit +10 pips residual.
Trading
summary for July 2008:
Tuesday 1st:
06:45 Buy at 1.9961 closed at 12:15. Result: T1 T2 profit
-15 pips residual. 12:15 Sell at 1.9938 closed at 19:00.
Result: T1 T2 profit -8 pips residual.
Wednesday
2nd: No trades
Thursday
3rd: News trade didn't trigger - Removed
Friday 4th:
No trades
Monday 7th:
06:30 Sell at 1.9735 closed at 14:45. Result: T1 T2 T3
profit +43 pips residual.
Tuesday 8th:
08:00 Buy at 1.9782 closed at 11:00. Result: -55 pips
residual.
Wednesday
9th: 07:25 Sell at 1.9679 closed at 10:25. Result: -53
pips. 10:30 Buy at 1.9749 closed at 20:00. Result: T1
T2 T3 profit +64 pips residual.
Thursday
10th: 07:15 Sell at 1.9754 closed at 14:15. Result: T1
T2 profit -5 pips residual.
Friday 11th:
11:45 Buy at 1.9816 closed at 18:45. Result: T1 T2 T3
T4 profit +60 pips residual.
Monday 14th:
07:40 Buy at 1.9878 closed at 08:35. Result: -53 pips.
11:40 Buy at 1.9887 closed at 20:00. Result: T1 T2 T3
profit +55 pips residual.
Tuesday 15th:
06:45 Buy at 2.0005 closed at 13:45. Result: T1 T2 T3
T4 profit +58 pips residual.
Wednesday
16th: 07:05 Buy at 2.0067 closed at 08:45. Result: T1
profit -28 pips residual.
Thursday
17th: 09:25 Buy at 2.0047 closed at 12:50. Result: -51
pips. 11:40 Buy at 2.0054 closed at 17:15. Result: -48
pips.
Friday 18th:
07:20 Sell at 1.9942 closed at 09:15. Result: T1 T2 profit
-15 pips residual.
Monday 21st: 06:30 Sell at 1.9916 closed at 09:20. Result:
-48 pips. 09:20 Buy at 1.9969 closed at 14:45. Result:
Break-even exit.
Tuesday 22nd:
07:00 Buy at 2.0053 closed at 12:30. Result: T1 profit
-18 pips residual. 12:45 Sell at 2.0007 closed at 20:00.
Result: T1 T2 T3 T4 profit +97 pips residual.
Wednesday
23rd: 09:15 Buy at 1.9946 closed at 14:45. Result: T1
T2 T3 profit +19 pips residual.
Thursday
24th: 06:45 Sell at 1.9950 closed at 18:15. Result: T1
T2 T3 T4 profit +97 pips residual.
Friday 25th:
Durable Orders day - A day we do not trade.
Monday 28th:
07:15 Sell at 1.9854 closed at 11:05. Result: -40 pips.
11:05 Buy at 1.9901 closed at 20:00. Result: T1 T2 T3
profit +39 pips residual.
Tuesday 29th:
06:30 Buy at 1.9966 closed at 08:40. Result: -35 pips.
08:40 Sell at 1.9918 closed at 20:00. Result: T1 T2 T3
T4 profit +120 pips residual.
Wednesday
30th: 07:45 Buy at 1.9828 closed at 12:35. Result: -38
pips.
Thursday
31st: Day before Big News Friday - A day we do not trade.
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