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Signals Performance - October 2015

Date Pairs Position Open Rate Stop Loss Take Profit Actual Profit
10-01-15 EUR/GBP Long 0.7378 0.7395 18
10-02-15 USD/CHF Short 0.9672 0.9720 -48
10-05-15 EUR/USD Long 1.1199 1.1215 17
10-06-15 EUR/GBP Long 0.7387 0.7389 2
10-07-15 EUR/USD Short 1.1228 1.1260 -32
10-07-15 EUR/GBP Long 0.7347 0.7375 28
10-13-15 USD/CHF Short 0.9601 0.9578 23
10-14-15 NZD/USD Short 0.6779 0.6759 20
10-19-15 USD/CHF Short 0.9560 0.9547 13
10-21-15 EUR/GBP Short 0.7348 0.7320 0
10-22-15 AUD/USD Short 0.7202 0.7220 -18
10-22-15 EUR/GBP Long 0.7250 0.7218 -32
10-23-15 GBP/CHF Short 1.4991 1.4970 20
10-27-15 EUR/GBP Long 0.7205 0.7245 40
Total + 51