Today I have been able to make back the losses suffered yesterday. My both trades of EUR/USD and USD/CAD have successfully closed in profit, allowing me to sign off the week on a winning note. I had taken EUR/USD long (buy) trade as I had a feeling that it's most probably going to break on the higher side after consolidating for last two days. In second trade of USD/CAD short (sell) trade as it has been forming lower lows and lower highs. In it I made 20 pips of profit but now looking at it after it's CPI data I am feeling like I have missed out on much more profit than I cashed in.
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