In the month of November, 49 trades were executed: 35 trades won, 14 trades lost (71% success rate), total profit is 857 pips, US$1,244.48.

Here are the trades details:

1. On 3 November I had bought EURJPY at 126.93, stop level at 126.00, target level at 128.18.
I took profit at 127.52, profit is 59 pips, US$59.49.

2. On 3 November I had sold 10,000 AUDUSD at 0.6789, stop level at 0.6939, target level at 0.6644.
I took profit at 0.6756, profit is 33 pips, US$33.00.

3. On 3 November I had shorted 20,000 EURJPY at 126.60, stop level at 127.56, target level at 125.41.
I decided to sell at 126.01, profit is 59 pips, US$119.96.

4. On 3 November I had shorted 20,000 EURJPY at 124.87, stop level at 125.91, target level at 123.40.
I decided to sell at 124.28, profit is 59 pips, US$117.37.

5. On 3 November I had bought USDCAD at 1.2000, stop level at 1.1885, target level at 1.2113.
Stop is triggered, loss is 115 pips, US$96.76.

6. On 4 November I had bought 20,000 AUDUSD at 0.6705, stop level at 0.6590.
I took profit at 0.6739, 34 pips, US$68.00 profit.

7. On 4 November I had shorted 20,000 USDCHF at 1.1740, stop level at 0.1.1820.
I took profit at 1.1734, 6 pips, US$10.23 profit.

8. On 4 November I had bought 20,000 EURJPY at 125.25, stop level at 124.25.
I sold off at 126.35, profit is 110 pips, US$221.80.

9. On 5 November I had shorted 20,000 EURJPY at 128.61.
EURJPY trade was stopped out, so loss is 50 pips, US$100.17.

10. On 5 November I had shorted 20,000 AUDUSD at 0.6925.
AUDUSD moves in my view, I took profit at 0.6864, profit is 61 pips, US$122.00.

11. On 5 November I had shorted USDCHF at 1.1685 four hours ago,
USDCHF moves in my favour, I decide to take profit first as the SELL signal has started to turn weak.I bought USDCHF back at 1.1622, profit is 63 pips, US$108.42.

12. On 6 November earlier in the morning at 5am (Singapore time), I had placed a order to short 20,000 EURJPY at 127.20, stop level at 128.70, target level at 125.70. Details here.
Target level is reached at 125.70. Profit is 150 pips, US$306.69.

13. On 6 November I had bought 10,000 AUDUSD at 0.6723, stop level at 0.6650, target level at 0.6821.
I took profit at 0.6776, profit is 53 pips, US$53.00.

14. On 6 November I had bought 20,000 EURJPY at 126.65, stop level at 125.00, target level at 128.60.
EURJPY keeps falling, I decide to cut loss. Sold at 125.67, loss is 98 pips.

15. On 6 November I had bought 10,000 EURJPY at 125.94, stop level at 124.91, target level at 128.50.
Stop is triggered, loss is 103 pips, US$105.32.

16. On 7 November I had bought 10,000 EURJPY at 125.00, trailing stop at 150 pips.
Stop triggered at 60.65, loss is 74 pips, US$74.00.

17. On 7 November I had bought 10,000 AUDUSD at 0.6646, stop level at 0.6500, target level at 0.6788.
My signal has started to turn from BUY to SELL, so I decide to take profit.Sold 10,000 AUDUSD at 0.6728, profit is 82 pips, US$82.00.

18. On 10 November I had shorted 10,000 AUDUSD at 0.6922, stop level at 0.7000, target level at 0.6826.
Target level is reached. Profit is 96 pips, US$96.00.

19. On 11 November I had shorted USDCAD at 1.1957, stop level at 1.2050, target at 1.1869.
BL TS 's SELL signal has turned very weak so I decide to take profit first at 1.1933. Profit is 24 pips, US$20.11.

20. On 11 November I had bought 10,000 USDCHF 1.1764, stop level at 1.1720, target level at 1.1820.
Target level is reached at 1.1820, profit is 56 pips, US$47.38.

21. On 11 November I had bought 10,000 EURJPY at 124.69, stop level at 123.64, target level at 125.73.
Stop is triggered. Loss is 105 pips, US$107.56.

22. On 12 November morning I had bought 10,000 AUDUSD at 0.6576, stop level at 0.6472, target level at 0.6693.
The uptrend seems weak so I took profit at 0.6609, profit is 33 pips, US$33.00.

23. On 12 November morning I had bought 10,000 EURJPY at 122.80, stop level at 121.30, target level at 124.70.
EURJPY looks toppish so I decide to take profit at 123.52. Profit is 72 pips, US$73.52.

24. On 12 November I had bought 10,000 EURJPY at 122.62, Stop level at 121.60, Target level at 123.80. Cut loss on EURJPY at 121.95, loss is 67 pips, US$68.87.

25. On 12 November I had bought 10,000 USDCHF at 1.1809, stop level at 1.1760, target level at 1.1870.
Target level is reached at 1.1870. Profit is 61 pips, US$51.39.

26. On 13 November I had bought 10,000 EURJPY at 120.23, Stop level at 119.21, Target level at 122.21. Stop is triggered, loss is 102 pips.

27. On 13 November I had bought 10,000 GBPUSD at 1.4937, Stop level at 1.4840, Target level at 1.5083. Stop is triggered, loss is 97 pips.

28. On 13 November I had bought 10,000 AUDUSD at 0.6430, Stop level at 0.6340, Target level at 0.6600. Stop is triggered, loss is 90 pips.

29. On 18 Nov I had shorted 10,000 EURJPY at 121.53, stop level at 122.53, target level at 120.34.
Stop is triggered, loss is 100 pips, US$103.41.

30. On 19 Nov I had shorted 10,000 GBPUSD at 1.4954, stop level at 1.5110, target level at 1.4813.
Sell signal is getting weaker, so I decide to take profit at 1.4955. Profit is 44 pips, US$44.00.

31. On 19 Nov I had shorted 10,000 EURJPY at 122.17, stop level at 123.70, target level at 120.74.
To protect my position from suffering any loss and yet to let my profit run, I had removed my stop and target level, and place at 30 pips trailing stop.Stop triggered at 122.01, profit is 16 pips, US$16.56.

32. On 20 Nov I had shorted 10,000 EURJPY at 123.64, stop level at 124.66, target level at 121.69.
EURJPY moves down sharply so I decide to take profit first. Bought back at 122.67, profit is 97 pips, US$100.11.

33. On 20 Nov I had shorted 10,000 USDJPY at 95.74, stop level at 96.50, target level at 94.77.
USDJPY rebounds from a support level of 118.50, so I decide to take profit first. Bought back at 95.37, profit is 37 pips, US$36.70.

34. On 20 Nov I had Shorted 10,000 GBPUSD at 1.4911, stop level at 1.500, target level at 1.4702.
GBPUSD moves in my favour, I decide to take profit at 1.4807. Profit is 104 pips, US$104.00.

35. On 21 Nov I had bought 10,000 AUDUSD at 0.6146, stop level at 0.6060, target level at 0.6241.
AUDUSD moves in my view but uptrend looks weak. So I took profit at 0.6201, profit is 55 pips, US$55.00.

36. On 24 Nov I had shorted 10,000 GBPUSD at 1.4899, stop level at 1.5000, target level at 1.4803.
Stop is triggered, loss is 101 pips, US$101.00.

37. On 24 Nov I had bought 10,000 EURJPY at 121.13, stop level at 119.50, target level at 122.71.
Target level is reached, profit is 158 pips, US$164.69.

38. On 24 Nov I had bought 10,000 USDJPY at 95.36, stop level at 94.88, target level at 96.31.
There is resistance at 96.00, so I took profit at 95.87. Profit is 51 pips, US$53.20.

39. On 25 Nov I had shorted 10,000 AUDUSD at 0.6481, stop level at 0.6570, target level at 0.6385.
AUDUSD met some support at 0.6400, I decided to take profit at 0.6431. Profit is 50 pips, US$50.00.

40. On 25 Nov I bought 10,000 USDCAD at 1.2411, stop level at 1.2290, target level at 1.2522.
Uptrend seems weak, so I decide to take profit first. Sold at 1.2441, profit is 30 pips, US$24.11.

41. On 25 Nov I had shorted 10,000 EURJPY at 125.19, stop level at 126.20, target level at 123.60.
Target level of 123.60 is reached. Profit is 159 pips, US$167.05.

42. On 25 Nov I had shorted 10,000 USDJPY at 0.9542, stop level at 0.9640, target level at 0.9391.
Today (26 Nov) the sell signal from BL TS is getting weak, so I bought back the short position. Profit is 33 pips, US$34.70.

43. On 26 Nov I had shorted 10,000 EURJPY at 123.68, stop level at 124.73, target level at 122.60.
My signal has turned from sell to buy, so I decide to take profit first. Bought back at 123.28, profit is 40 pips, US$42.07.

44. On 26 Nov I had shorted 10,000 GBPUSD at 1.5246, stop level at 1.5350, target level at 1.5129.
Stop triggered, loss is 104 pips, US$104.00.

45. On 27 Nov night, I had shorted 10,000 EURJPY at 123.48, stop level at 124.10, target level at 122.46.
Target level is reached at 122.46. Profit is 102 pips.

46. On 27 Nov I had placed an order to sell 10,000 USDJPY at 95.27, stop level at 96.00, target level at 94.11.
My signal has turned from sell to buy, so I decide to cut loss. Bought back at 95.46, loss is 19 pips, US$19.90.

47. On 27 Nov I had bought 20,000 EURJPY at 123.14, stop level at 122.40, target level at 124.01.
Market is moving very slow due to US holiday (Thanks Giving Day). I decide to take profit first, sold at 123.25. Profit is 11 pips, US$23.09.

48. On 28 Nov I had shorted 20,000 AUDUSD at 0.6558, stop level at 0.6620, target level at 0.6492.
With 40 pips in the money, I decide to take profit as I do not want to hold any position over the weekend. Bought back at 0.6518, profit is 40 pips, US$80.00.

49. On 27 Nov I had bought 20,000 USDJPY at 95.46, Stop level at 94.90, Target level at 96.42.
With some profits on hand, Dow Jones is weak, I decide to take profit first. Sold at 95.43, profit is 3 pips, US$16.75.


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FX trading can be a source of alternative income for you and me. Click here to open a FREE Standard FX trading account. If you need help in your trading, send an email to me at atraderx@gmail.com. This is better than paying few thousand dollars for trading seminars or signal subscription that do not produce good results.

Risk Disclosure: Forex trading has large potential rewards, but also large potential risk. You must be aware of the risks and be willing to accept them in order to participate in the futures trading markets. Don't trade with money you can't afford to lose. The past performance of any trading system or methodology is not necessarily indicative of future results.

Yesterday (27 Nov) I had bought 20,000 USDJPY at 95.46, Stop level at 94.90, Target level at 96.42.

With some profits on hand, Dow Jones is weak, I decide to take profit first. Sold at 95.43, profit is US$16.75.

Today (28 Nov) I had shorted 20,000 AUDUSD at 0.6558, stop level at 0.6620, target level at 0.6492.

With 40 pips in the money, I decide to take profit as I do not want to hold any position over the weekend. Bought back at 0.6518, profit is 40 pips, US$80.00.
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Yesterday I had bought 20,000 EURJPY at 123.14, stop level at 122.40, target level at 124.01.

Market is moving very slow due to US holiday (Thanks Giving Day). I decide to take profit first, sold at 123.25. Profit is 11 pips, US$23.09.

On 27 Nov night, I had shorted 10,000 EURJPY at 123.48, stop level at 124.10, target level at 122.46.

Target level is reached at 122.46. Profit is 102 pips.

Times are bad, jobs are not secure. But we still have bills to pay, our income cannot stop. Learn a new skill to earn secondary income. Click here to open a forex trading account for only US$100. Demo account is available, give it a try.

Today I had shorted 10,000 EURJPY at 123.68, stop level at 124.73, target level at 122.60.



My signal has turned from sell to buy, so I decide to take profit first. Bought back at 123.28, profit is 40 pips, US$42.07.

Today I bought 10,000 USDCAD at 1.2411, stop level at 1.2290, target level at 1.2522.



Uptrend seems weak, so I decide to take profit first. Sold at 1.2441, profit is 30 pips, US$24.11.

Good support for USDCAD at 1.2300.

Bought 10,000 USDCAD at 1.2411

Stop level at 1.2290
Target level at 1.2522

This morning (25 Nov) I had shorted 10,000 AUDUSD at 0.6481, stop level at 0.6570, target level at 0.6385.

AUDUSD met some support at 0.6400, I decided to take profit at 0.6431. Profit is 50 pips, US$50.00.


http://www.forexyard.com/banner_images/113.gif?zone_id=
FX trading can be a source of alternative income for you and me. Click here to open a FREE Standard FX trading account. If you need help in your trading, send an email to me at atraderx@gmail.com. This is better than paying few thousand dollars for trading seminars or signal subscription that do not produce good results.

Risk Disclosure: Forex trading has large potential rewards, but also large potential risk. You must be aware of the risks and be willing to accept them in order to participate in the futures trading markets. Don't trade with money you can't afford to lose. The past performance of any trading system or methodology is not necessarily indicative of future results.

This morning (24 Nov) I had bought 10,000 USDJPY at 95.36, stop level at 94.88, target level at 96.31.

There is resistance at 96.00, so I took profit at 95.87. Profit is 51 pips, US$53.20.



All of my trades are executed based on fully tested trading system based on real life experience. If you are interested to generate alternative income by tapping on this trading system, open a free account by clicking on this link and send an email to me at atraderx@gmail.com.

This morning (21 Nov) I had bought 10,000 AUDUSD at 0.6146, stop level at 0.6060, target level at 0.6241.

AUDUSD moves in my view but uptrend looks weak. So I took profit at 0.6201, profit is 55 pips, US$55.00.

Bought 10,000 AUDUSD at 0.6146
Stop level at 0.6060
Target level at 0.6241


Today (20 Nov) I had Shorted 10,000 GBPUSD at 1.4911, stop level at 1.500, target level at 1.4702.

GBPUSD moves in my favour, I decide to take profit at 1.4807. Profit is 104 pips, US$104.00.



http://www.forexyard.com/banner_images/113.gif?zone_id=
All of my trades are executed based on fully tested trading system based on real life experience. If you are interested to generate alternative income by tapping on this trading system, open a free account by clicking on this link and send an email to me at atraderx@gmail.com.

Risk Disclosure: Forex trading has large potential rewards, but also large potential risk. You must be aware of the risks and be willing to accept them in order to participate in the futures trading markets. Don't trade with money you can't afford to lose. The past performance of any trading system or methodology is not necessarily indicative of future results.

Private-sector consumption in the U.K. is expected to weaken for the second consecutive month in October as economist forecast retail sales to fall another 0.9% following the 0.4% decline in the previous month.

Shorted 10,000 GBPUSD at 1.4911
Stop level at 1.500
Target level at 1.4702

This morning (20 Nov) I had shorted 10,000 USDJPY at 95.74, stop level at 96.50, target level at 94.77.

USDJPY rebounds from a support level of 118.50, so I decide to take profit first. Bought back at 95.37, profit is 35 pips, US$36.70.


http://www.forexyard.com/banner_images/113.gif?zone_id=
All of my trades are executed based on fully tested trading system based on real life experience. If you are interested to generate alternative income by tapping on this trading system, open a free account by clicking on this link and send an email to me at atraderx@gmail.com.

Risk Disclosure: Forex trading has large potential rewards, but also large potential risk. You must be aware of the risks and be willing to accept them in order to participate in the futures trading markets. Don't trade with money you can't afford to lose. The past performance of any trading system or methodology is not necessarily indicative of future results.

I had shorted 10,000 EURJPY at 123.64, stop level at 124.66, target level at 121.69.

EURJPY moves down sharply so I decide to take profit first. Bought back at 122.67, profit is 97 pips, US$100.11.


Times are bad, jobs are not secure. But we still have bills to pay, our income cannot stop. Learn a new skill to earn secondary income. Click here to open a forex trading account. Demo account is available, give it a try.

Yesterday (19 Nov) I had shorted 10,000 GBPUSD at 1.4954, stop level at 1.5110, target level at 1.4813.

Sell signal is getting weaker, so I decide to take profit at 1.4955. Profit is 44 pips, US$44.00.

This morning I had bought 10,000 AUDUSD at 0.6576, stop level at 0.6472, target level at 0.6693.

The uptrend seems weak so I took profit at 0.6609, profit is 33 pips, US$33.00.



http://www.forexyard.com/banner_images/113.gif?zone_id=
All of my trades are executed based on fully tested trading system based on real life experience. If you are interested to generate alternative income by tapping on this trading system, open a free account by clicking on this link and send an email to me at atraderx@gmail.com.

Risk Disclosure: Forex trading has large potential rewards, but also large potential risk. You must be aware of the risks and be willing to accept them in order to participate in the futures trading markets. Don't trade with money you can't afford to lose. The past performance of any trading system or methodology is not necessarily indicative of future results.

Today I had shorted USDCAD at 1.1957, stop level at 1.2050, target at 1.1869.

BL TS 's SELL signal has turned very weak so I decide to take profit first at 1.1933. Profit is 24 pips, US$20.11.

To earn more secondary income in recessionary environment, click here to open a forex trading account. Demo account is available, give it a try.

BL Trading System has signal BUY for EURJPY

Bought 10,000 EURJPY @ 124.69
Stop level at 123.64
Target level at 125.73

BL TS has signal BUY for AUDUSD today.

Bought 10,000 AUDUSD at 0.6722
Stop level at 0.6638
Target level at 0.6818

BL TS has signal BUY for USDCAD

Bought USDCAD @ 1.1830

Stop level at 1.1662

Target level at 1.2026

To earn more secondary income in recessionary environment, click here to open a forex trading account. Demo account is available, give it a try.

Today I had bought 10,000 AUDUSD at 0.6646, stop level at 0.6500, target level at 0.6788.

My signal has started to turn from BUY to SELL, so I decide to take profit.

Sold 10,000 AUDUSD at 0.6728, profit is 82 pips, US$82.00.

BL TS signals BUY for EURJPY.

Bought 10,000 EURJPY at 125.00
Trailing stop at 150 pips

On the hourly chart, there is a good support for AUDUSD at 0.6540. If this support level maintains, AUDUSD is likely to rise towards 0.6850 level.

Bought 10,000 AUDUSD at 0.6646
Stop level at 0.6500
Target level at 0.6788



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All of my trades are executed based on fully tested trading system based on real life experience. If you are interested to generate alternative income by tapping on this trading system, open a free account by clicking on this link and send an email to me at atraderx@gmail.com.

Risk Disclosure: Forex trading has large potential rewards, but also large potential risk. You must be aware of the risks and be willing to accept them in order to participate in the futures trading markets. Don't trade with money you can't afford to lose. The past performance of any trading system or methodology is not necessarily indicative of future results.

I had bought 10,000 EURJPY at 125.94, stop level at 124.91, target level at 128.50.

Stop is triggered, loss is US$105.32.

This has reduced my profit for today from US$158.91 to US$53.59.

Today I had bought 10,000 AUDUSD at 0.6723, stop level at 0.6650, target level at 0.6821.

I took profit at 0.6776, profit is 53 pips, US$53.00.

Despite surveys calling for a decline in new jobs, Australian employment grew by 34,300 positions in October. This is good news for Australia dollar.

Technically AUDUSD is trading in a range between 0.6700 - 0.7000.

Bought 10,000 AUDUSD at 0.6723
Stop level at 0.6650
Target level at 0.6821


Risk Disclosure: Forex trading has large potential rewards, but also large potential risk. You must be aware of the risks and be willing to accept them in order to participate in the futures trading markets. Don't trade with money you can't afford to lose. This website is neither a solicitation to invest nor an offer to Buy/Sell futures or options. The past performance of any trading system or methodology is not necessarily indicative of future results.

Dow Jones fell 486 points last night causing the Yen crosses to fall. With this huge fall in US market normally we will see the impact in Asia market, causing the Yen crosses to fall much more.

BL Trading System has signal SELL for EURJPY.

Shorted 20,000 EURJPY at 127.20
Stop level at 128.70
Target level at 125.70

I had shorted USDCHF at 1.1685 four hours ago

USDCHF moves in my favour, I decide to take profit first as the SELL signal has started to turn weak.

I bought USDCHF back at 1.1622, profit is 63 pips, US$108.42.

System has signal SELL for USDCHF

Shorted 20,000 USDCHF at 1.1685
Stop level at 1.1760
Target level at 1.1538

System has signaled SELL for AUDUSD and EURJPY this morning (Asia time).

Shorted 20,000 AUDUSD at 0.6925
Stop level at 0.6995
Target level at 0.6815


Shorted 20,000 EURJPY at 128.61
Stop level at 129.35
Target level at 127.43


To earn more secondary income in recessionary environment, click here to open a forex trading account.

Few hours I had shorted 20,000 at 0.6895, stop level at 0.6970, target level at 0.6774.

Stop is triggered, loss is 75 pips, US$150.

This trade has reduced my profit for today from US$417.40 to US$267.40.

Today I had bought 20,000 EURJPY at 125.25, stop level at 124.25.

I sold off at 126.35, profit is 110 pips, US$221.80.

Today I had bought 20,000 USDCHF at 1.1740, stop level at 0.1.1820.

I took profit at 1.1734, 6 pips, US$10.23 profit.

Today I had bought 20,000 AUDUSD at 0.6705, stop level at 0.6590.

I took profit at 0.6739, 34 pips, US$68.00 profit.

Yesterday I had shorted 20,000 EURJPY at 124.87, stop level at 125.91, target level at 123.40.

I decided to sell at 124.28, profit is 59 pips, US$117.37.


To earn more secondary income in recessionary environment, click here to open a forex trading account.

30 min ago I had shorted 20,000 EURJPY at 126.60, stop level at 127.56, target level at 125.41.

I decided to sell at 126.01, profit is 59 pips, US$119.96.


Today I had sold 10,000 AUDUSD at 0.6789, stop level at 0.6939, target level at 0.6644.

I took profit at 0.6756, profit is 33 pips, US$33.00.