... and

Tuesday, January 31

If you're new and you just did Buy EUR/USD 1.3077, "break even".
Our EUR/USD reversion Long is under question.
Still same Update.
Today's new Update much later.
EUR/USD 1.3117 has some small Buy.
Hold EUR/USD Long 1.2937 and 1.3077 adding.
Also we have 5 more extra Entries.

Friday, January 27

Still same Update.

Thursday, January 26

On one Trading Station EUR/USD adding I got with one pip accuracy, on other one just did not reach.
USD/CHF also needed one more pip.
Now it's our time.
I'll do adding on our last Update Entries, but if you new, this time risk is 33% higher.
EUR/USD Buy near 1.3077
GBP/USD Buy near 1.5627
AUD/USD Buy near 1.0571
NZD/USD Buy near 0.8127
USD/CAD Sell near 1.0047
USD/CHF Sell near 0.9227
"33% risk higher",- it means make 1/3 less of investment like last time.
Now I working on all 6 levels of Resistance and Support for adding more.
I'll let you know later at night (Asian session).
Now it's not regular situation. Market will blow up all you technical indicators.
Still do not Sell EUR/USD and do not take more Profit.
Hold all 6 Yesterday's Entries:
EUR/USD Buy near 1.2937
GBP/USD Buy near 1.5501
AUD/USD Buy near 1.0451
NZD/USD Buy near 0.8067
USD/CHF Sell near 0.9297
USD/CAD Sell near 1.0147

I'll do extra Update little later.

Wednesday, January 25

Perfect accuracy. Huge Profit. Take little and hold as much as you can.

Your Entries helps to move Market. Thank you very much.
I'm working on new Update. May I'll give you some draft tonight... or tomorrow morning.
One more time same Update.

Tuesday, January 24

For NZD/USD, AUD/USD and USD/CHF I would manage Stops.
Take 1/4 Profit of NZD/USD.
Same Update.

Monday, January 23

01/23 Intraday Update.

EUR/USD Buy near 1.2937
GBP/USD Buy near 1.5501
AUD/USD Buy near 1.0451
NZD/USD Buy near 0.8067
USD/CHF Sell near 0.9297
USD/CAD Sell near 1.0147
No Trade.
I'll do Update in 5h.

Friday, January 20

Today I would Sell EUR/USD near 1.2963.

Thursday, January 19

Today I do not Sell EUR/USD, let it go higher.
I'll do some other small Entries:
AUD/USD Buy near 1.0357
NZD/USD Buy near 0.7977
USD/CHF Sell near 0.9417
USD/CAD Sell near 1.0141

Wednesday, January 18

EUR/USD 1.2846 I do Sell , but Stops I'll do very near.

Thank you for Buying EUR/USD 1.2717.
Still Hold thees 100 pips of Profit.
We getting close to channel line.
I still working on one more good Level of Resistance.
Our EUR/USD Main Trend is Short.
EUR/USD Buy 1.2717,- was extra money on other Trading Station.

Tuesday, January 17

Move Stops near Entry.
On other Trading Station, EUR/USD 1.2717 I'll Buy Today, but our Main trend is still Short.

Thursday, January 12

Wednesday, January 11

EUR/USD 1.2727 I'll add little Short.

Tuesday, January 10

EUR/USD Main Trend is Short.

I'll Buy EUR/USD near 1.2727 small amount on other Trading Station. Stops near Entry as soon as possible.
I'm still waiting for my EUR/USD Sell near 1.2847 Entry Level.
Still same Update.

Monday, January 9

Today I looking for bigger EUR/USD reversion. May it will reach our 1.2847.

Friday, January 6

EUR/USD still Short.

EUR/USD still Short and I'll do adding lower near 1.2847.

Thursday, January 5

Very nice movement. Today I'll add EUR/USD Short near 1.2911.
"Near" it means,- work with your own indicators for your own Entry.
If you have big Profit take little risk just Sell EUR/USD.

Wednesday, January 4

EUR/USD Short and just Short.

Today I would add EUR/USD Short near 1.3001.

Tuesday, January 3

Today EUR/USD let it go Long,... later at night we'll Sell near RED line.

Price could be very same, but we need just little time. In time frame same price by self moves close to RED line.

I like this explanation my Strategy.

Something new ...

If you want I can open Blog, "Trades just for Living", it would be no explanation, no teaching just plain "Money Making Machine"

FAQ ... How I can get learning about your trading System?

Do not go fallow me in blind, be The Cat that Walks by Itself

  • Check your trading Plan many times

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