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  1. #11
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    Yesterday i made +$55 profit and request for Withdrawal

    ,
    [SPOILER]
    Request @ 18:12



    Processed @ 21:12 GMT+7

    [/SPOILER]

    Buy CADJPY
    Chart CADJPY
    [SPOILER]
    Because CADJPY spreads are low, i can trade this pair
    Reason buy CADJPY : Strong Support area

    got 1 pip spreads

    before GBP News, i tried to catch the trend

    [/SPOILER]

  2. #12
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    Got Drawdown in my ECN Pro Account
    but no problem. OverAll i am still in profit T_T

     




    Sell EURJPY
    Reason : Price / buyer, are not too dominant and can't maintain their power above EMA 12

    SL Scalping
    TP longterm

  3. #13
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    Still hold my Sell EURJPY, move EURJPY stoploss into trailing stop mode
    Sell EURGBP , because at M5 , candle broke out the EMA 12,and met major resistance. put 10.0 pips stoploss,

    got good spreads on EURGBP, 0.6-0.7 pips for EURGBP , not bad for cross pair

    [SPOILER]


    [/SPOILER]
    today we have EURO Zone news, perhaps this news could help my trade

  4. #14
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    Finally i got Margin Call
    Well redeposit my account and looking for signals with another trading instrument provided by my Broker,and i decided to trade the indices
    After tried their demo to find out how much margin used for any indices
    i decided to trade the US500 index (SPX500 index)

    Reason :
    1.M pattern
    2.Engulfing
    3.Their spreads looks lower than another index (40 pips, i think its like 4 pips in forex)

    Sell 1 @ 1917.20
    sell 2 @1906.20
    Trailing Stop loss @ 1911.20
    My worst scenario : i think am only reach BEP

    [SPOILER]

    [/SPOILER]

  5. #15
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    I hope NZDUSD can break the upper triangle formed in daily timeframe.

    opened NZDUSD trades, got tight spreads, with tight pair movement
    -_-
    [SPOILER]
    [/SPOILER]

  6. #16
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    today I have a lot of work to do and only now I have time to update my journal
    And today , we only have one important USD news

    today i do some multiple entries



    Buy HK50 (Hanseng )
    Reasojn : engulfing on m15

    [SPOILER]

    [/SPOILER]
    Indices trading have different sensation, although the spreads are small, but we can quickly experience a plus or minus in one single moves
    Closed profit +40$

    and after that i bought GBPUSD and sold EURGBP
    [SPOILER][/SPOILER]
    Got tight spread , and closed by my trailing stop

    And i now i try another trading instruments provide by Tickmill, which is JPY225 (Nikkei)and EURJPY
    Reason : engulfing on MA
    [SPOILER]

    [/SPOILER]

  7. #17
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    Sell EURGBP
    god, I hate this Inverted Cup and handle Pattern.


    [SPOILER]
    [/SPOILER]

    Example of Cup and handle Pattern in WTI/CL

    [SPOILER]

    looking this WTI, makes me wanna open a trade, because my broker uses fixed 1 lot , and 1 lot = 0.01$ / pips which means i trade WTI with cent account
    [/SPOILER]

  8. #18
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    Try To buy NZDCHF

    Finaly i am back trading forex, because indices trading is very painful.
    For smallest lot in my broker, smallest used margin is in JP225 , it is around $14-$15. not to mention, index have very wild movement.
    need bigger balance sigh
    and looks like they applied 1:100 leverage in all indices instrument
    [SPOILER]

    Reason, hammer on MA with counter sell if it become invalid
    [/SPOILER]

  9. #19
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    Finally got margin called
    and based on [URL='http://www.fxblue.com/users/ijak']FXBlue[/URL] statement
    My total deposit/WD in Tickmill via skrill or fasapay are :
    Deposit : $178.37
    WD : $221.34
    WD - Deposit = $42,97

    so with my total net WD , i can say, i am still losing my money.
    But no problem.
    I cosider this as my learning experience .
    and i learned in hard way, in the next trades, i better do not touch indices , because if i trade with minimum amount i better trade WTI because even WTI used margin is relatively big because it is using 1:100 leverage, but WTI smallest lot is cent pips . so it is better for money management

    This journal will be my documentary repot so i can study my mistakes and become a better trader in near futures

    and like arnold said in terminator.

    " I'll be back"

    The End of Part 1

  10. #20
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    Deposit Small amount before NFP
    and taking advantages from this volatile news .
    Sell USDCHF and CADCHF because in TF H1 already formed continue pattern.
    so lets hoping its valid


    [SPOILER]

    [/SPOILER]

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