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week 1 week 2 week 3 week 4 week 5 TOTAL Total trades wining losing
150 135 200 505 195 1185 55 36 19
MONDAY TUESDAY WEDNESDAY THURSDAY FRIDAY
week 1 03.01.2012 04.01.2012 05.01.2012 06.01.2012
pair LONG SHORT net P/L LONG SHORT net P/L LONG SHORT net P/L LONG SHORT net P/L LONG SHORT net P/L
EUR/USD entry 1.303 1.303 1.2835
closed at 1.3065 -35 1.2995 -35 1.28 -35
GBP/USD entry 1.562 1.566 1.549
closed at 1.5655 -35 1.551 150 1.552 30
EUR/USD entry 1.306 1.298
closed at 1.303 30 1.2945 -35
GBP/USD entry 1.294 EUR/USD
closed at 1.2905 -35
EUR/USD 1.295
1.28 150
MONDAY TUESDAY WEDNESDAY THURSDAY FRIDAY
week 2 09.01.2012 10.01.2012 11.01.2012 12.01.2012 13.01.2012
pair LONG SHORT net P/L LONG SHORT net P/L LONG SHORT net P/L LONG SHORT net P/L LONG SHORT net P/L
EUR/USD entry 1.278 1.281 1.279 1.276 1.282
closed at 1.275 30 1.278 30 1.271 80 1.273 30 1.2785 -35
GBP/USD entry 1.543 1.546 1.533 1.533
closed at 1.546 30 1.549 30 1.5395 -35 1.536 30
EUR/USD entry 1.5375 GBP/USD 1.28 1.279
closed at 1.534 -35 1.2835 -35 1.2765 -25
GBP/USD entry 1.548 1.538 1.533
closed at 1.545 30 1.538 0 1.541 80
EUR/USD 1.271 1.2745 -35 1.2815 1.285 -35
Copyrighted © 2010-2012 by www.profitfxsignal.com All rights reserved.
Profit Forex Signal
Jan-12
MONDAY TUESDAY WEDNESDAY THURSDAY FRIDAY
week 3 16.01.2012 17.01.2012 18.01.2012 19.01.2012 20.01.2012
pair LONG SHORT net P/L LONG SHORT net P/L LONG SHORT net P/L LONG SHORT net P/L LONG SHORT net P/L
EUR/USD entry 1.268 1.277 1.28 1.289
closed at 1.265 30 lose because 2 pips 1.2805 -35 1.2835 -35 1.2925 -35
GBP/USD entry 1.537 1.534 1.543 1.55
closed at 1.54 30 1.537 30 1.546 30 1.547 30
EUR/USD entry 1.279 1.282
closed at 1.271 80 1.279 30
GBP/USD entry 1.539 EUR/USD 1.285
closed at 1.532 80 1.2885 -35
MONDAY TUESDAY WEDNESDAY THURSDAY FRIDAY
week 4 23.01.2012 24.01.2012 25.01.2012 26.01.2012 27.01.2012
pair LONG SHORT net P/L LONG SHORT net P/L LONG SHORT net P/L LONG SHORT net P/L LONG SHORT net P/L
EUR/USD entry 1.294 1.304 1.304 1.3125 1.31
closed at 1.291 30 1.296 80 1.296 80 1.316 -35 1.313 30
GBP/USD entry 1.555 1.569 1.57
closed at 1.558 30 1.572 30 1.567 30
EUR/USD entry 1.304 1.294 1.3165
closed at 1.302 20 1.309 150 1.3135 30
GBP/USD entry EUR/USD 1.3095
closed at 1.3065 30
MONDAY TUESDAY WEDNESDAY THURSDAY FRIDAY
week 5 30.01.2012 31.01.2012
pair LONG SHORT net P/L LONG SHORT net P/L LONG SHORT net P/L LONG SHORT net P/L LONG SHORT net P/L
EUR/USD entry 1.312 1.319
closed at 1.3085 lose because 7 pips -35 1.304 150
GBP/USD entry 1.568
closed at 1.568 0
EUR/USD entry 1.309
closed at 1.317 80
GBP/USD entry
closed at
Copyrighted © 2010-2012 by www.profitfxsignal.com All rights reserved.

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Copy ofreport january2012

  • 1. week 1 week 2 week 3 week 4 week 5 TOTAL Total trades wining losing 150 135 200 505 195 1185 55 36 19 MONDAY TUESDAY WEDNESDAY THURSDAY FRIDAY week 1 03.01.2012 04.01.2012 05.01.2012 06.01.2012 pair LONG SHORT net P/L LONG SHORT net P/L LONG SHORT net P/L LONG SHORT net P/L LONG SHORT net P/L EUR/USD entry 1.303 1.303 1.2835 closed at 1.3065 -35 1.2995 -35 1.28 -35 GBP/USD entry 1.562 1.566 1.549 closed at 1.5655 -35 1.551 150 1.552 30 EUR/USD entry 1.306 1.298 closed at 1.303 30 1.2945 -35 GBP/USD entry 1.294 EUR/USD closed at 1.2905 -35 EUR/USD 1.295 1.28 150 MONDAY TUESDAY WEDNESDAY THURSDAY FRIDAY week 2 09.01.2012 10.01.2012 11.01.2012 12.01.2012 13.01.2012 pair LONG SHORT net P/L LONG SHORT net P/L LONG SHORT net P/L LONG SHORT net P/L LONG SHORT net P/L EUR/USD entry 1.278 1.281 1.279 1.276 1.282 closed at 1.275 30 1.278 30 1.271 80 1.273 30 1.2785 -35 GBP/USD entry 1.543 1.546 1.533 1.533 closed at 1.546 30 1.549 30 1.5395 -35 1.536 30 EUR/USD entry 1.5375 GBP/USD 1.28 1.279 closed at 1.534 -35 1.2835 -35 1.2765 -25 GBP/USD entry 1.548 1.538 1.533 closed at 1.545 30 1.538 0 1.541 80 EUR/USD 1.271 1.2745 -35 1.2815 1.285 -35 Copyrighted © 2010-2012 by www.profitfxsignal.com All rights reserved. Profit Forex Signal Jan-12
  • 2. MONDAY TUESDAY WEDNESDAY THURSDAY FRIDAY week 3 16.01.2012 17.01.2012 18.01.2012 19.01.2012 20.01.2012 pair LONG SHORT net P/L LONG SHORT net P/L LONG SHORT net P/L LONG SHORT net P/L LONG SHORT net P/L EUR/USD entry 1.268 1.277 1.28 1.289 closed at 1.265 30 lose because 2 pips 1.2805 -35 1.2835 -35 1.2925 -35 GBP/USD entry 1.537 1.534 1.543 1.55 closed at 1.54 30 1.537 30 1.546 30 1.547 30 EUR/USD entry 1.279 1.282 closed at 1.271 80 1.279 30 GBP/USD entry 1.539 EUR/USD 1.285 closed at 1.532 80 1.2885 -35 MONDAY TUESDAY WEDNESDAY THURSDAY FRIDAY week 4 23.01.2012 24.01.2012 25.01.2012 26.01.2012 27.01.2012 pair LONG SHORT net P/L LONG SHORT net P/L LONG SHORT net P/L LONG SHORT net P/L LONG SHORT net P/L EUR/USD entry 1.294 1.304 1.304 1.3125 1.31 closed at 1.291 30 1.296 80 1.296 80 1.316 -35 1.313 30 GBP/USD entry 1.555 1.569 1.57 closed at 1.558 30 1.572 30 1.567 30 EUR/USD entry 1.304 1.294 1.3165 closed at 1.302 20 1.309 150 1.3135 30 GBP/USD entry EUR/USD 1.3095 closed at 1.3065 30 MONDAY TUESDAY WEDNESDAY THURSDAY FRIDAY week 5 30.01.2012 31.01.2012 pair LONG SHORT net P/L LONG SHORT net P/L LONG SHORT net P/L LONG SHORT net P/L LONG SHORT net P/L EUR/USD entry 1.312 1.319 closed at 1.3085 lose because 7 pips -35 1.304 150 GBP/USD entry 1.568 closed at 1.568 0 EUR/USD entry 1.309 closed at 1.317 80 GBP/USD entry closed at Copyrighted © 2010-2012 by www.profitfxsignal.com All rights reserved.