... and

Tuesday, September 18

USD/CHF I'll add Short little more near 0.9299.

Monday, September 17

Today I do not add nothing, we still in reversion process.
Hold all positions.
In 3h I'll make new Update.

Friday, September 14

Seven days follow trend - huge Profit.
Today is Friday and people taking Profit, so it's not good to make adding.
I'm expecting  little reversion.
But do not close no one  Entry, just hold.

Our Call was:

AUD/USD Buy near 1.0411
NZD/USD Buy near 0.8163
USD/CHF Sell near 0.9407

Thursday, September 13

Today we'll buy  AUD/USD, NZD/USD  and we'll Sell USD/CHF.This trend we do  every day this week.
Our Target total it's about thousand pips.

Entry levels later we'll show and here.
If you do not have our Entry Level, just Buy at market EUR, GBP, AUD, NZD and Sell USD/CHF, USD/CAD and you'll feel magic of FOREX and Big Money.

Our Entry Call was:

AUD/USD Buy near 1.0417 NZD/USD Buy near 0.8127
USD/CHF Sell near 0.9437

Wednesday, September 12

In algforex.com we'll...

AUD/USD Buy.
NZD/USD Buy.

USD/CHF Sell.
Later we'll show Entry Levels and here.

Our Call was:

AUD/USD Buy near 1.0367
NZD/USD Buy near 0.8117


USD/CHF Sell near 0.9477.

Tuesday, September 11

Just adding to open positions... and our Target total would be 300 pips more.

AUD/USD Buy.
NZD/USD Buy.

USD/CHF Sell.
Later we'll show Entry Levels and here.

Hold all USD/CHF Entries Short about 200 pips. Next Update in 5h.

NZD/USD and AUD/USD we have about 200 pips total. Our trades based on Intraday - Daily reversion. Reversion level is Pivot level. Same time they are strong resistance or strong support. Resistance we do Sell, support we do Buy. Thees Entries are 2-7 pips accuracy. And Stops are 25 pips. Later after price moves 17 - 25 pips of Profit move Stops near Entry. Also we do trade follow broken Pivot. In this case I do make special note. It works just for special Market conditions and for special levels or pivots. Take some profit at 40 and 70-100 pips. Never close all trade 100% Do not risk more 3% of your account Balance.
Take my Entry when it fits in your Trading Strategy.

Monday, September 10

09/10 Intraday Update. Next Update just in algforex.com.

EUR/USD Buy near  1.2701GBP/USD Buy near 1.5943
AUD/USD Buy near  1.0333
NZD/USD Buy near 0.8079
USD/CAD Sell near 0.9787
USD/CHF Sell near 0.9497

Friday, September 7

Our Entry USD/CHF Sell near 0.9591 doing good.

Thursday, September 6

Little later I'm looking to add USD/CHF Short. Our trades based on Intraday - Daily reversion. Reversion level is Pivot level. Same time they are strong resistance or strong support. Resistance we do Sell, support we do Buy. Thees Entries are 2-7 pips accuracy. And Stops are 25 pips. Later after price moves 17 - 25 pips of Profit move Stops near Entry. Also we do trade follow broken Pivot. In this case I do make special note. It works just for special Market conditions and for special levels or pivots. Take some profit at 40 and 70-100 pips. Never close all trade 100% Do not risk more 3% of your account Balance.
Take my Entry when it fits in your Trading Strategy.

Wednesday, September 5

Our Update was:

EUR/USD Buy near 1.2521, GBP/USD Buy near 1.5847, AUD/USD Sell near 1.0223, NZD/USD Sell near 0.7971, USD/CAD Buy near 0.9867, USD/CHF Sell near 0.9591.

Today we have same trend like yesterday but USD/CAD we're Buying.

EUR/USD Buy, GBP/USD Buy, AUD/USD Sell , NZD/USD Sell, USD/CAD Buy, USD/CHF Sell.
Later Entry Levels we'll show and here.

Tuesday, September 4

Our trades based on Intraday - Daily reversion. Reversion level is Pivot level. Same time they are strong resistance or strong support. Resistance we do Sell, support we do Buy. Thees Entries are 2-7 pips accuracy. And Stops are 25 pips. Later after price moves 17 - 25 pips of Profit move Stops near Entry. Also we do trade follow broken Pivot. In this case I do make special note. It works just for special Market conditions and for special levels or pivots. Take some profit at 40 and 70-100 pips. Never close all trade 100% Do not risk more 3% of your account Balance.
Take my Entry when it fits in your Trading Strategy.

We got EUR/USD and USD/CHF Entry. Our Update was:

EUR/USD Buy near 1.2556GBP/USD Buy near 1.5847
AUD/USD Sell near 1.0283
NZD/USD Sell near 0.7997USD/CAD Sell near 0.9887
USD/CHF Sell near 0.9563

Later we'll show and here.

Today in algforex.com we'll doEntry: EUR/USD  Buy, GBP/USD  Buy,AUD/USD Sell , NZD/USD Sell, USD/CAD Sell,USD/CHF Sell.

Friday, August 31

We'll Buy EUR/USD, but it's better to wait until Sunday night.
Our Call  Sell EUR/USD near 1.2571.
1/2 I lost 25 pips, other 1/2 I'll try to "break even".

Thursday, August 30

Our Call was Sell EUR/USD  near 1.2571.

Wednesday, August 29

In algforex.com we Sell EUR/USD.
Later we'll show and here.
Yesterday we did not Buy EUR/USD.

Tuesday, August 28

In algforex.com we'll make one more EUR/USD Entry Long.
Later we'll show and here.
We got EUR/USD.
....about 70 pips  of Profit, take little and move Stops to Entry.
Do not close Trade 100%.

Monday, August 27

EUR/USD Buy near 1.2483
AUD/USD Sell near 1.0437
NZD/USD Sell near 0.8137
USD/CAD Sell near 0.9927

Thursday, August 23

Next Update just in algforex.com.

I'll add EUR/USD Long near 1.2473.

Wednesday, August 22

Our Call was: "EUR/USD I'll Buy near 1.2427".

Tuesday, August 21

Today EUR/USD will go much more Long.
We lost 25 pips.

Monday, August 20

EUR/USD we'll Sell near 1.2347.

Friday, August 17

Our Call was: "We'll Buy EUR/USD near 1.2277".

Thursday, August 16

Today we'll Buy EUR/USD.
Entry Level later we'll show and here.

Wednesday, August 15

Now we'll sell near same  EUR/USD price 1.2311.

Monday, August 13

Next Update in algforex.com.

We'll Buy EUR/USD little later somewhere near 1.2311.
Move Stops near Entry.

Friday, August 10

EUR/USD we'll SEll little lower. Later we'll show and here.
Our Update was: EUR/USD I'll SEll near 1.2357.

Thursday, August 9

In algforex.com we have Levels for yesterday's Update.Later we'll show and here.

Wednesday, August 8

Move stops near Entry.  Later We'll see reversion. It means in algforex.com we'll Seell EUR, GBP, AUD, NZD and we'll Buy USD/CAD and USD/CHF.

Tuesday, August 7

Nothing new. Still same Update.

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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