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Signals Performance - November 2014

Date Pairs Position Open Rate Stop Loss Take Profit Actual Profit
11-03-14 EUR/USD Short 1.2496 -64
11-05-14 EUR/USD Short 1.2479 -46
11-06-14 GBP/USD Short 1.5976 1.5890 86
11-07-14 EUR/GBP Short 0.7829 -23
11-10-14 EUR/USD Long 1.2482 1.2425 -57
11-11-14 EUR/USD Short 1.2420 -40
11-12-14 GBP/JPY Short 182.60 64
11-12-14 USD/CHF Long 0.9634 30
11-13-14 EUR/GBP Long 0.7896 0.7915 19
11-17-14 NZD/USD Short 0.7922 0.7888 34
11-19-14 USD/CHF Long 0.9578 0.9542 -36
11-20-14 GBP/USD Long 1.5704 1.5660 -44
11-21-14 EUR/GBP Long 0.7934 0.7935 1
11-24-14 EUR/USD Long 1.2400 1.2430 30
11-25-14 EUR/USD Long 1.2436 1.2470 34
11-26-14 USD/CHF Long 0.9648 0.9626 -22
11-26-14 EUR/USD Long 1.2489 1.2514 25
11-27-14 EUR/USD Short 1.2488 1.2450 38
Total + 29