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Signals Performance - December 2014

Date Pairs Position Open Rate Stop Loss Take Profit Actual Profit
12-02-14 NZD/USD Short 0.7836 0.7800 36
12-08-14 GBP/CHF Long 1.5256 1.5282 26
12-09-14 GBP/CHF Short 1.5187 1.5220 -33
12-10-14 GBP/CHF Short 1.5208 1.5188 20
12-11-14 GBP/CHF Short 1.5133 1.5121 12
12-12-14 GBP/CHF Long 1.5244 1.5190 -54
12-12-14 EUR/USD Long 1.2434 1.2447 13
12-12-14 EUR/GBP Long 0.7918 0.7930 12
12-15-14 NZD/USD Long 0.7763 0.7746 -16
12-16-14 GBP/CHF Short 1.5058 1.5092 -34
12-16-14 GBP/USD Long 1.5718 1.5742 24
12-16-14 USD/CHF Short 0.9589 0.9576 13
12-18-14 EUR/GBP Short 0.7845 0.7838 7
12-19-14 GBP/CHF Short 1.5341 1.5372 -31
12-19-14 EUR/USD Long 1.2291 1.2245 -45
12-22-14 EUR/JPY Long 146.49 146.70 21
12-22-14 EUR/USD Long 1.2268 1.2222 -46
12-23-14 GBP/USD Short 1.5565 1.5486 79
12-29-14 AUD/USD Short 0.8132 0.8129 3
12-30-14 EUR/GBP Long 0.7819 0.7814 -5
12-31-14 AUD/USD Short 0.8196 0.8170 26
Total + 28