12 pairs; Lot 0.01; leverage 1:500;
Almost all pairs spread max - 1.0(pip), only eurnzd and audcad – 1.5(pip).
On Firday total LOSS was -18.87 euro (-108 pips). But almost all loss was in 4min period 18:08-18:12 (GMT +2.0). total loss on those 4 min was -15,81 euro (-177 pips). Was 36 trades and only 6 in profit.
I have written long post about all week trading, but after submit it was showing only maybe 1/3 my post.. So I just left my trading week screenshot. But All days there with different SL and TP and I wanted to write everything about it.
After all my last week trading - my conlusions could be:
I think it is STILL possible getstable profit. V11 don’t have news filter as V10 and I think it is better not to trade on Heavy news. But sometimes market is very moving not only during news as it was on Friday. Maybe one day you get big LOSS on such market, maybe next time you can get BIG PROFIT. Because I can’t find any real result on live accounts at least for several months – so there is only one way to find it myself JWill see what will be this week.