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Signals Performance - October 2014

Date Pairs Position Open Rate Stop Loss Take Profit Actual Profit
10-08-14 EUR/GBP Short 0.7866 -15
10-08-14 EUR/USD Short 1.2672 -38
10-09-14 EUR/GBP Long 0.7866 16
10-14-14 EUR/GBP Long 0.7915 27
10-22-14 EUR/USD Short 1.2696 1.2656 26
10-22-14 GBP/CHF Long 1.5278 1.5310 32
10-23-14 EUR/USD Long 1.2650 1.2686 36
10-24-14 EUR/GBP Long 0.7887 0.7867 -11
10-27-14 EUR/USD Long 1.2679 1.2710 31
10-29-14 AUD/USD Long 0.8888 0.8910 22
10-30-14 USD/CAD Short 1.1208 1.1180 28
Total + 154