Monday, 8 October 2012
Saturday, 15 September 2012
Week 20120910 (+1794)
Clear entry after waiting hours. Good movement from the beginning of the week to end of the week without retreating.
Tuesday, 11 September 2012
Friday, 31 August 2012
Week 20120827 (+15)
Market traded in range. T101 weak in such market. Considered lucky to gain after deducting spreads.
Saturday, 18 August 2012
Week 20120817 (+234)
Pretty straight forward 14 LONG pairs entry. Yet, the gain is not much. The max gain throughout the week is about 492pips according to my EA record. Anyway, gain is always better than loss.
Friday, 27 July 2012
Week 20120723 Review (+385)
I think I have proved enough of live trading. From web statistic, I notice more readers like to read article on T101 rather than knowing when does I enter for the week. So I will only post results on weekly basis.
The market starts of with selling trend but it was too strong by the 36 hours later. I didn't enter and instead, I entered 14 pairs LONG on the second last day when the market rebound.
The market starts of with selling trend but it was too strong by the 36 hours later. I didn't enter and instead, I entered 14 pairs LONG on the second last day when the market rebound.
Saturday, 14 July 2012
Week 20120709 Review (-560)
Another cutloss week. The market does not have a good direction since the beginning of the week. T101 TM is weak in such ranging market. Until we can see a clear trend, we will be more conservative to play with cutloss limits.
Wednesday, 11 July 2012
Saturday, 7 July 2012
Week 20120702 Review (-560)
I was hit by early cut loss this week. My EA started 14 pairs LONG triggered by the up spike of anchor USDCHF. When I looked back at the point of entry, USDCHF wasn't the anchor. So I guess it must be some kind of up spike triggered the entry. The system is a live EA by tick so I can't prevent this.
Wednesday, 4 July 2012
Saturday, 30 June 2012
Week 20120624 Review (No Entry)
The market trend was too much trending to sell after 36 hours. I decided not to enter based on T101 Tallman Variant. It turns out that my decision saved myself 560 pips. In total this month profit is about 750 pips. It is quite a weak month compared to 4000 pips on May. Nevertheless, I am able to maintain positive return this month.
Saturday, 23 June 2012
Week 20120618 Debrief (+253)
Exit with +253 pips
The market flow is unlike other weeks. USD seemed acted unusual (probably due to FOMC news). Highest gain this week was 800+ pips before the market reversed but we managed to get ourselves into LONG entries gain of 200+ pips (refer to the entry timing in my entry post). Next week will be interesting because the direction will be revealed quite early in the week but I am looking after 36 hours.
The market flow is unlike other weeks. USD seemed acted unusual (probably due to FOMC news). Highest gain this week was 800+ pips before the market reversed but we managed to get ourselves into LONG entries gain of 200+ pips (refer to the entry timing in my entry post). Next week will be interesting because the direction will be revealed quite early in the week but I am looking after 36 hours.
Tuesday, 19 June 2012
Sunday, 17 June 2012
Week 20120611 Debrief (+490)
This week gain is about +500 pips. I noticed that my EA was unable to open entry for EURCHF during the 14 LONG pairs entry. Despite of that it is still a successful week since last week was a no-entry week for me. The anchor pair was GBPCHF. The entry is purely based on T101 Tallman variant.
Tuesday, 12 June 2012
Friday, 8 June 2012
Week 20120604 Review (No Entry)
No entry for any LONG position this week. The anchor and market trends showed LONG week but I have chosen not to enter as T101 emphasizes on market trend. Overall the past 3-4 weeks are SHORT trending market. For T101 Tallman variant, I have specific rule for weekly market trend. In general, great market movement such as what we have seen in the last week (which I have gained +2800 pips by 14 SELL pairs), I have avoided LONG entry.
Friday, 1 June 2012
Week 20120528 Debrief (+2800)
It is not end of the week but the orders hit my take profit target of +2800 pips! So, I can close my EA today. What a week!!
Wednesday, 30 May 2012
Saturday, 26 May 2012
Week 20120521 Debrief (+57)
The market was trending LONG earlier this week but T101 TM rule does not suggest LONG entry this week. The basket exited end of this week with only 57 pips gain with 14 SELL pairs. It is a ranging week with max gain in the week is about 400+ pips. The downward pressure has been negated this week but I am still following the rule.
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