Hi there,

today I managed to get some profit by going long the US Dollar mostly against AUD and EUR. During the day I have decided to get out of these two positions, as EUR/USD stopped at the monthly pivot.

I have decided to take a long position for Canadian Dollar, as I think that USD/CAD stopped at the first monthly resistance. I have opted for going short also EUR/CAD, as I think that CAD is going to add to its strength during this week.

The last positions I opened was EUR/AUD short, as it looked to me that there is a solid downtrend formed and the par did not make it above the first monthly resistance.

My positions aren't doing particularly good at this moment, but it doesn't bother me much, as this is just the first day of the month and everything can change in a matter of hours.

I wish you all a successful week.
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