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REAL RESULTS !
You posted
" USD/CHF-- SELL at 1.4267, 40 point S/L (5:00 AM EST)"
BUT market rate at 5:00 AM EST- high 1.4252-low1.4247 after that the rate 1.4267 was at 9:40 AM EST ("Follow these if hit at recommended price") and after this your position was closed(who knows this?)only with profit of 5 pips at 11:00 AM EST.
"GBP/USD-- BUY at 1.6032, 35 point S/L (5:05 AM EST)
Was up around 25pips "
How the profit may be 25 pips if HIGH on the market was 1.6051-56 today (after your post).----only 19 pips(if position was closed on HIGH point of the market(who knows it? )
"EUR/USD-- BUY at 1.0262, 35 point S/L (5:07 AM EST)
Also up around 25pips "
The same with EUR-----high----1.0285-90----profit not 25 but 23 pips----IF you closed the position on the HIGH point of the market.
Everybody may verify these points.
Very strange results and they are different with yours.
You must post the exit points in real time if you want the confidence of people to your posts.
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