Archive for February, 2010

Vineri verde / 26 februarie 2010

Friday, February 26th, 2010

Astazi am luat 3 shorturi pe eurodolar din care am castigat cumulat +31 pipsi verzi +11,91 centi ; randamentul contului real pentru luna februarie este de +22,50% 5.10498 $ .

Joi pe profit / 25 februarie 2010

Thursday, February 25th, 2010

Astazi am luat 3 pozitii short pe eurodolar,in intervalul 1,3500-10 din care am castigat +11 pips +5,94 centi(prima pozitie de la 1,3510),+15 pips +6,75 centi (a doua pozitie de la 1,3506) si respectiv +10 pips +23,4 centi(a treia pozitie de la 1,3501) ; randamentul contului real este de +21,98% 4.98588 $ .

Miercuri pe profit / 24 februarie 2010

Wednesday, February 24th, 2010

Astazi am pus doar 3 pozitii,una long buy on dips pe eurodolar @ 1,3525 din care deja am castigat +12 pipsi verzi +11,88 centi ,urmata de una short @1,3553 care s-a inchis cu un castig de +14 pipsi verzi +13,86 centi iar cea de-a treia short pending sell on rallies @ 1,3575 cu target 1,3443 si stop 1,3636 ; randamentul contului real este de +20,39% 4.62498$.

O noua luni verde / 22 februarie 2010

Monday, February 22nd, 2010

Astazi am intrat cu 3 pozitii long (2 pe eurodolar siuna pe yen)si 1 short pe cable din care am castigat cumulat +31 pipsi verzi +34,706 centi ; randamentul contului Marketiva este de +19,25% 4,36758 $.

Vineri profitabila / 19 februarie 2010

Friday, February 19th, 2010

Cele 2 pozitii long pe eurodolar sunt pe pierdere(destul de mare,de altfel),asa ca ieri am luat o pozitie short @1,3636 cu target@1,3535 si care s-a inchis cu un profit frumos de +107 pipsi verzi +1,3161 $(+2,58R) ceea ce a mai echilibrat situatia :) ; randamentul contului real este de +17,28% $ 3.92062 .

Update : am mai luat o pozitie short pe eurodolar la 1,3501 si pe care am inchis-o la 1,3492 cu un castig de doar +9 pipsi verzi +9,99 centi ; randamentul contului a urcat astfel la +17,72% $4.02052.

Miercuri verde / 17 februarie 2010

Wednesday, February 17th, 2010

Astazi am intrat cu 3 pozitii long,2 pe eurodolar si una pe cable,din care am castigat deocamdata doar +18 pipsi verzi +17,82 centipe cable,celelalte 2 pozitii sunt pe pierdere sub SL ; randamentul contului real este de +11,48% 2.60452 $ .

Marti pe profit / 16 februarie 2010

Tuesday, February 16th, 2010

Astazi am pus doua ordine pending long pe eurodolar,unul la 1,3625 si altul la 1,3650 ,al doilea activindu-se dimineata si inchizindu-se cu un profit de +13 pipsi verzi +10,01 centi ; randamentul contului real este de +10,69% 2.42632 $ .

EUR/USD forecast

Monday, February 15th, 2010

EUR/USD forecast

 

H4 graph

There are signs of an emerging correction.
In case the pair rises above level 1.3720 (“a” trendline), we may expect an upside to level 1.3950. This forecast remains in effect until the market drops below level 1.3550. I’m seeing no alternative variants so far.

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Daily graph

The pair got to its target level 1.3555. Obviously (taking into consideration the complex analysis of the markets), a correction should be started soon. In case the pair rises above 1.3720, we may expect an upside to level 1.3950.
If we examined the current trend in terms of Elliot waves, it would be found in the fourth wave now and the fifth wave would be following having the target at level 1.3285 or 1.2800 (depending on the trend’s strength). Level 1.3950 (in its approximate boundaries) is the turning level.

Alternatively, if the pair rises above level 1.4100, it will reach resistance 1.4650.

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Weekly graph (from 31.01.10)

The fact that the pair has left the “D-D+” uptrend revealed a potential of dropping to supports 1.3555–1.3285. Those supports are of equal strength and at the moment it’s really hard to tell from which support the market will turn in future. But the fact is the pair will get to 1.3555 at least. In case it will continue to drop after that, we should expect hitting 1.3285.

At that point we may consider a possibility of correction to level 1.4650, followed by drop to 1.2750.

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Monthly graph (from 31.01.10)

The fact that the pair has left the “P-P+” uptrend revealed a potential of dropping to level 1.2750. In general, if the pair manages to retreat below the “neckline” (level 1.2600/50), strategically, it will get to level 1.0000.

Taking into consideration the picture over weekly graph, the pair is certainly trading along a downtrend and it set its first drop target at level 1.2750 (the “neckline” of the “head and shoulders” trend-turning figure) – see weekly graph.

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Luni verde / 15 februarie 2010

Monday, February 15th, 2010

Astazi am plasat un ordin long pe eurodolar @1,3598 cu SL initial 1,3553 si pe care l-am inchis @ 1,3611 cu un castig de +13 pipsi verzi (+0,28R) ; randamenul contului real a urcat la +10,25% 2.32622 $ .

Vineri verde / 12 februarie 2010

Friday, February 12th, 2010

Ieri am intrat cu 2 pozitii long pe USD/JPY pe care le–am inchis astazi dimineata cu un castig cumulat de +25 pipsi verzi +13,424 centi(+0,26848 R cumulat);randamentul contului este de +9,75% 2.21182 $ .