Welcome to NexusFi: the best trading community on the planet, with over 150,000 members Sign Up Now for Free
Genuine reviews from real traders, not fake reviews from stealth vendors
Quality education from leading professional traders
We are a friendly, helpful, and positive community
We do not tolerate rude behavior, trolling, or vendors advertising in posts
We are here to help, just let us know what you need
You'll need to register in order to view the content of the threads and start contributing to our community. It's free for basic access, or support us by becoming an Elite Member -- see if you qualify for a discount below.
-- Big Mike, Site Administrator
(If you already have an account, login at the top of the page)
The first week of seriously trading this strategy is over.
In CL I'm risking about 10 dollars per tick.
In SPX500 and OMXS30 I'm risking about 66 dollars per point. Remember I'm trading CFDs so I can choose the size of the positions pretty freely.
Results: -77 ticks in CL (9 losses, 4 BE, 1 winner)
-7 points in SPX500 (2 losses)
+45.5 points in OMXS30 (2 losses, 1 winner)
Total: +1771$
A pretty normal week trading wise, always nice to see at least some profits(most weeks I don't). Will continue next week doing the same thing, waiting for the big one.
Can you help answer these questions from other members on NexusFi?