EURJPY Short. RR=1. Supply level. Price action pattern.
The short by technical and fundamental reasons. And because my price action experience.
AUDUSD Short EURAUD Long. Market order. RR > 1. Without break-even.
AUDCHF Long. Buy market order. RR=1. When the profit reaches 0.5 of the take-profit, we can move the stop-loss to breakeven.
XAUUSD Long. Another attemp. Buy Stop order. RR=0.5. If the price goes down, delete this pending order.
XAUUSD Long. Buy Stop order. RR=0.5. If the price goes down, delete this pending order.
XAUUSD Long. Buy Stop order. RR=0.5. If the price goes down, delete this pending order.
GBPAUD Long. Buy Stop order. RR=1. If the price goes down, delete this pending order.
AUDCAD Short. Sell Stop order. RR=1. If the price goes up, delete this pending order.
AUDCAD Short. Sell Stop order. RR=1. If the price goes up, delete this pending order.
It looks like I’m going to be a millionaire soon. The statistic that below is impossible. So why does it not work properly?
Strategy based on the YK Dynamic Momentum indicator.
The strategy script analysis of "weekly trend” using the Trend Efficiency indicator.