6A
Open:
Long 2 @ 1.0510. Swing Analysis, Daily Hammer. Trying this trade again, will take off 1 contract with 1 tick profit and let the other one run, stop loss is 30 ticks at 4 ticks below the low of the previous day, initial target is 50 ticks at 12 ticks above the high, may move it higher if the trade goes my way and has good momentum.
Close:
1st: Sell 1 @ 1.0511. 15m to the employment report, was thinking about giving it more room, but didn't want to take the risk, took off the first contract with 1 tick profit.
2nd: Sell 1 @ 1.0480. Stopped out.
2 contracts -$290 gross, -$304.48 net.
No comments:
Post a Comment