Hi traders,

this is a small recapitulation of last week trading. I have been under pressure from last drawdown. As you may see on the monthly performance chart, last day was full of volatility. First aff all i have to say that my plan B went well. I have closed all of my short legs of EURGBP exactly on the low. This action was grate and market trend turn the direction. I left just opened trades on GBPAUD and GBPCAD . after few hours my equity went to 250k $. that was right to decrease my exposure and I have closed GBPCAD with huge profit as well. my last position in the book is GBPAUD. I am not very happy to left this trade overnight and during the weekend but I thought it will be good idea. I hope for long side gap. If my position end up badly, I will cut it as soon as possible.

good luck.

Airmike
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