samedi 31 janvier 2009

January Result



This is what we realized this month, according sometimes to the signals, sometimes on ichimoku, and sometimes scalp(few one).
We choose as example a position by 100 000 units.
For example
Short USD/JPY $100 000
Long EUR/USD €100 000
So to calculate in Eur our P&L, we are hedging our position in selling or buying the accrued interest in using the Close of the last day open.

I am going to post analysis over the coming days, cause there is a lot of strange things hapening at the present time.
I have made all this trade but not with the same capital, unfortuneatly

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