Hello everybody,
first of all I would like to apologize for not writing any trading updates from Tuesday but I was really busy. Right now I would like to summarize my trades from previous week.

HOWEVER THERE IS SOMETHING I WOULD LIKE TO SAY BEFORE I START WRITING - I BELIEVE THAT NOT EACH OF YOU WILL READ IT TILL END. TODAY I MET UP WITH AIRMIKE IN PRAGUE, WE HAD FEW BEERS AND WERE TALKING ABOUT DUKASCOPY AND TRADING. IT WAS REALLY INTERESTING CONVERSATION FOR ME AND I WOULD LIKE TO THANK MIKE FOR HIS TIME .

So there is my summary:
As usually I was trading USD crosses. I opened USD/MXN which was closed with SL, but I reopened this possition and on Friday closed with profit. GBP/USD, USD/JPY and EUR/USD opened on Tuesday finished in big loss on Thursday after FOMC. So the only possitive position for me was USD/SEK which was closed on Friday becasue of weekend leverage change. But unfortunatelly, the same time was closed my USD/RUB possitin.

So final summary is about -4% of my portfolio this week and -110 pips which means for me total April summary +21% and 135pips plus.
I hope next week will be better for me.
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