Today i made a lot of trades.
Till lunchtime i made 3 trades:
1. Long 1,4386 close 1,4378 = -8
2. Long 1,4387 close 1,4400= +13
3. Long 1,4398 close 1,4402 = +4
Total = +9 (+1,28R)
After lunchtime , at NY open i started to trade and made a lot of trades. It was tilt trading, and so results it's not so measurable in case of strategy.
So for the day = + 131 (+18R)
Today i made 7 trades. Forgot to view economic calendar, and today was bank holiday in Europe and US.
I made 7 trades today.
Total = - 33 (-4,71R)
I started to trade after 9 Am local time. But i made a lot of mistakes today and also huge overtrading. I made 17 trades and total profit of 1 pip.
So i need stick to mu rules and trade only trend setups with defined stop loss.
Total trades = 17
Result = +1 (+0,14R)
Largest loss trade = - 22
Largest profit trade = +13
Today i started traded from new location, with modest setup and only 2 screens :-)
But trading was awful. Too much trades, and not according to rules.
1. Long 1,4178 close 1,4170 = -8
2. Long 1,4172 close 1,4165 = - 7
3. Long 1,4165 close 1,4168 = +3
4. Short 1,4161 close 1,4160 = +1
5. Short 1,4163 close 1,4155 = +8
6. Short 1,4148 close 1,4143 = +5
7. Short 1,4151 close 1,4162 = -11
8. Long 1,4164 close 1,4168= +4
9. Long 1,4159 close 1,4167 = +8
10. Short 1,4167 close 1,4166 = +1
11. Long 1,4165 close 1,4166 =+1
Total = +5 (+0,71R)
Today i started to trade after 9-00 AM.
Made 2 trades today, but broke my rules and take a third trade after two losers.
We had not clear trend at this time.
1. Short 1,4016 - close 1,4023 = -7
2. Short 1,4028 - close 1,4034 = -6
3. Short 1,4026 - close 1,4010 = +16
Total = +3 (+0,42R)
Today i made 2 trades.
First trade was according to system.
Second trade - was my improvisation. I expected that price will reverse at pivot support/resistance intraday level and put limit order.
1. Long 1,4061 - close 1,4054 = -7
2. Short 1,4047 - close 1,4054= - 7
Total = - 14 (-2R)
Today we had nice setups, but unfortunately i missed them.
Downtrend, pullback. price forms HH (on microstructure, then HL, short this higher low)

Today i started watch the market near 9-20 AM local time. (GMT+3)
6E opened with gap and moved down pretty solid on Asia session.
I started to watch the spot to short.
First trade was with perfect entry, but exited too early.
Second trade was not bad, finished on breakeven.
Third trade was awful. I bought 6E in huge downtrend, trying to catch falling knife.
So 3 trades for today.
1. Short 1,4053 - close 1,4042 = +11
2. Short 1,4030 - close 1,4030 = 0
3. Long 1,4018 - close 1,4012 = -6
Total = +5 (+0,71R)
Nice down trend with confirmed price action.
One of the best potential days in present week.
Yesterday i didn't trade. So today i have traded for two days.
I made 4 trades and 4 losses today.
1. Long 1,4313 - close 1,4307= -6
2. Short 1,4307 -close 1,4312 = -5
3. Short 1,4302 - close 1,4309 = -7
4. Short 1,4307 - close 1,4314 = -7
Total = - 25 (-3,57R)
Also today i violated a rule that i can not trade i i have a first loss between Frankfurt and London open
Today i started trading after 14 local time.
3 trades for today:
1. Short 1,4221 - close 1,4221 = 0 (breakeven)
2. Short 1,4221 - close 1,4228 = -7
3. Short 1,4221 - close 1,4212 = +9
Total = +2 (+0,28R)
Interesting that 3 times i shorted at the same price.
During countless hours watching markets i saw this pattern.
Today i started monitor the market after London open.
Made 4 trades for today (last trade was mistake, cause i forgot to remove limit order).
1. Short 1,4157 close 1,4163 = - 6
2. Short 1,4157 close 1,4155 = + 2
3. Short 1,4154 close 1,4141 = +13
4. Long 1,4148 close 1,4149 = +1
Total = + 10 (+1,42R)