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Profit Forex Signal customer report Jun-11 week 1 week 2 week 3 week 4 week 5 TOTAL 1280 40 185 240 400 415 MONDAY week 1 LONG pair EUR/USD entry closed at GBP/USD entry closed at USD/JPY entry closed at USD/CHF entry closed at

SHORT

TUESDAY net P/L

LONG

MONDAY week 2 06.06.2011 LONG SHORT net P/L LONG pair EUR/USD entry 1.46 closed at 1.463 30 1.6415 GBP/USD entry closed at 1.638 -35 1.459 1.642 EUR/USD entry closed at 1.467 80 1.645 GBP/USD entry closed at

SHORT

net P/L

TUESDAY 07.06.2011 SHORT net P/L

1.638 1.6415 GBP/USD 1.643 1.6465

LONG 1.44 1.443

WEDNESDAY 01.06.2011 SHORT net P/L

Total trades

LONG

30

WEDNESDAY 08.06.2011 SHORT net P/L

LONG 1.4615 1.458 1.4575 EUR/USD -35 1.4595 1.456 30 1.464

wining 60

LONG 1.448 -35 1.451 1.6415 20 1.638 80

-35

Copyrighted © 2010-2011 by www.profitfxsignal.com All rights reserved.

losing 39

21

THURSDAY 02.06.2011 SHORT net P/L LONG 1.438 1.4415 -35 1.638 1.634 1.6415 -35 1.6305 1.629 1.644

FRIDAY 03.06.2011 SHORT net P/L 1.4495 1.453 -35

THURSDAY 09.06.2011 SHORT net P/L

FRIDAY 10.06.2011 SHORT net P/L

LONG 1.4445 30 1.4475

-35 1.4535 1.4505

30

-35 GBP/USD 150

30 1.63 1.627

30


MONDAY TUESDAY week 3 13.06.2011 14.06.2011 LONG SHORT net P/L LONG SHORT net P/L LONG pair EUR/USD entry 1.4345 1.4355 closed at 1.4375 30 1.433 1.631 1.6385 1.635 GBP/USD entry closed at 1.628 30 1.6415 30 1.6315 1.43 USD/JPY entry closed at 1.4265 USD/CHF entry closed at

week 4 pair LONG EUR/USD entry closed at GBP/USD entry closed at USD/JPY entry closed at USD/CHF entry closed at

WEDNESDAY 15.06.2011 SHORT net P/L

EUR/USD

THURSDAY FRIDAY 16.06.2011 17.06.2011 LONG SHORT net P/L LONG SHORT net P/L 1.416 1.422 -25 1.408 80 1.414 80 1.632 1.61 -35 1.6085 -35 1.619 80 GBP/USD 1.615 -35 1.613 20 EUR/USD 1.4175 1.4155 20

MONDAY TUESDAY WEDNESDAY THURSDAY 20.06.2011 21.06.2011 22.06.2011 24.06.2011 SHORT net P/L LONG SHORT net P/L LONG SHORT net P/L LONG SHORT net P/L LONG 1.432 1.436 1.442 1.4155 1.4255 1.429 30 1.433 30 1.427 150 1.4305 150 1.427 1.616 1.622 1.6195 1.5985 1.4215 1.6195 -35 1.6185 -35 1.616 -35 1.6015 30 1.4235 1.4385 EUR/USD 1.441 1.5985 GBP/USD EUR/USD 1.443 -45 1.438 30 1.595 -35 1.6185 GBP/USD 1.4315 GBP/USD 1.602 1.6265 80 1.4335 20 1.599 30

MONDAY TUESDAY week 5 27.06.2011 28.06.2011 pair LONG SHORT net P/L LONG SHORT net P/L LONG EUR/USD entry 1.428 1.433 closed at 1.4315 -35 1.4365 -35 1.5925 1.5925 GBP/USD entry closed at 1.6005 80 1.6075 150 1.4285 GBP/USD 1.604 EUR/USD entry closed at 1.4255 30 1.597 70 1.4315 USD/CHF entry EUR/USD closed at 1.4285 30

WEDNESDAY THURSDAY 29.06.2011 30.06.2011 SHORT net P/L LONG SHORT net P/L LONG 1.44 1.45 1.438 20 1.447 30 1.604 1.601 1.601 30 1.609 80 1.607 1.6105 -35

Copyrighted © 2010-2011 by www.profitfxsignal.com All rights reserved.

FRIDAY 24.06.2011 SHORT net P/L 15 EUR/USD 20

FRIDAY SHORT

net P/L

Report june2011  
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