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Signals Performance - November 2015

Date Pairs Position Open Rate Stop Loss Take Profit Actual Profit
11-02-15 USD/CHF Short 0.9871 0..9825 0
11-02-15 EUR/USD Long 1.1035 1.0990 -45
11-04-15 EUR/GBP Long 0.7073 0.7045 -28
11-05-15 USD/CHF Short 0.9965 0.9959 6
11-09-15 EUR/GBP Long 0.7118 0.7090 -28
11-11-15 GBP/CHF Short 1.5206 1.5240 -34
11-12-15 EUR/GBP Long 0.7051 0.7090 39
11-17-15 EUR/GBP Long 0.7012 0.6987 -25
11-19-15 GBP/CHF Short 1.5545 1.5530 15
11-20-15 EUR/USD Long 1.0653 1.0628 -25
11-23-15 NZD/USD Long 0.6507 0.6516 9
11-24-15 EUR/USD Long 1.0650 1.0750 0
11-30-15 EUR/USD Long 1.0561 1.0586 25
Total -91