profit forex signalweek 2 10.02.2014 11.02.2014 12.02.2014 13.02.2014 14.02.2014 ... profit forex...

24
customer report week 1 week 2 week 3 week 4 week 5 TOTAL Total trades wining losing 140 260 380 410 330 1520 41 33 8 MONDAY TUESDAY WEDNESDAY THURSDAY FRIDAY week 1 01.01.2014 02.01.2014 03.01.2014 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 1.3860 closed at 1.3720 140 GBP/USD entry Trades from December closed at EUR/USD entry closed at GBP/USD entry closed at MONDAY TUESDAY WEDNESDAY THURSDAY FRIDAY week 2 06.01.2014 07.01.2014 08.01.2014 09.01.2014 10.01.2014 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 1.3585 1.3450 1.3600 1.3565 1.3680 closed at 1.3615 30 1.3620 30 1.3570 -30 1.3595 30 1.3650 30 GBP/USD entry 1.6410 1.6430 1.6425 1.3620 1.6480 closed at 1.6350 60 1.6400 30 1.6395 -30 1.3590 30 1.6510 -30 EUR/USD entry closed at GBP/USD entry 1.6420 1.6440 1.6490 closed at 1.6390 30 1.6470 -30 1.6410 80 1.3585 1.3615 30 Copyrighted © 2010-2013 by www.profit-forexsignals.com All rights reserved. Profit Forex Signal Jan-14

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Page 1: Profit Forex Signalweek 2 10.02.2014 11.02.2014 12.02.2014 13.02.2014 14.02.2014 ... Profit Forex Signal customer report Ju;y 2014 week 1 week 2 week 3 week 4 week 5 TOTAL Total trades

customer report

week 1 week 2 week 3 week 4 week 5 TOTAL Total trades wining losing

140 260 380 410 330 1520 41 33 8

MONDAY TUESDAY WEDNESDAY THURSDAY FRIDAY

week 1 01.01.2014 02.01.2014 03.01.2014

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 1.3860

closed at 1.3720 140

GBP/USD entry Trades from December

closed at

EUR/USD entry

closed at

GBP/USD entry

closed at

MONDAY TUESDAY WEDNESDAY THURSDAY FRIDAY

week 2 06.01.2014 07.01.2014 08.01.2014 09.01.2014 10.01.2014

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 1.3585 1.3450 1.3600 1.3565 1.3680

closed at 1.3615 30 1.3620 30 1.3570 -30 1.3595 30 1.3650 30

GBP/USD entry 1.6410 1.6430 1.6425 1.3620 1.6480

closed at 1.6350 60 1.6400 30 1.6395 -30 1.3590 30 1.6510 -30

EUR/USD entry

closed at

GBP/USD entry 1.6420 1.6440 1.6490

closed at 1.6390 30 1.6470 -30 1.6410 80

1.3585 1.3615 30

Copyrighted © 2010-2013 by www.profit-forexsignals.com All rights reserved.

Profit Forex Signal

Jan-14

Page 2: Profit Forex Signalweek 2 10.02.2014 11.02.2014 12.02.2014 13.02.2014 14.02.2014 ... Profit Forex Signal customer report Ju;y 2014 week 1 week 2 week 3 week 4 week 5 TOTAL Total trades

MONDAY TUESDAY WEDNESDAY THURSDAY FRIDAY

week 3 13.01.2014 14.01.2014 15.01.2014 16.01.2014 17.01.2014

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 1.3695

closed at 1.3665 30

GBP/USD entry 1.6435 1.6435 1.6440 1.6320 1.6440

closed at 1.6465 30 1.6405 30 1.6360 80 1.6350 30 1.6410 30

EUR/USD entry 1.3690

closed at 1.3540 150

GBP/USD entry

closed at

MONDAY TUESDAY WEDNESDAY THURSDAY FRIDAY

week 4 21.01.2014 22.01.2014 23.01.2014 24.01.2014 25.01.2014

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 1.3530 1.3580 1.3690 1.3730

closed at 1.3680 150 1.3550 30 1.3690 0 1.3650 80

GBP/USD entry 1.6450 1.6450 1.6540 1.6610 1.6660

closed at 1.6420 30 1.6420 30 1.6570 -30 1.6640 -30 1.6510 150

EUR/USD entry

closed at

GBP/USD entry 1.6480 1.6580

closed at 1.6510 -30 1.6560 30

MONDAY TUESDAY WEDNESDAY THURSDAY FRIDAY

week 5 28.01.2014 29.01.2014 30.01.2014 31.01.2014

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 1.3570 1.3635 1.3670 1.3545

closed at 1.3540 -30 1.3665 30 1.3520 150 1.3545 0

GBP/USD entry 1.6560 1.6615 1.6600

closed at 1.6590 -30 1.6585 30 1.6450 150

EUR/USD entry

closed at

GBP/USD entry 1.6610

closed at 1.6580 30

Copyrighted © 2010-2014 by www.profit-forexsignals.com All rights reserved.

Page 3: Profit Forex Signalweek 2 10.02.2014 11.02.2014 12.02.2014 13.02.2014 14.02.2014 ... Profit Forex Signal customer report Ju;y 2014 week 1 week 2 week 3 week 4 week 5 TOTAL Total trades

customer report

week 1 week 2 week 3 week 4 week 5 TOTAL Total trades wining losing

410 -80 380 550 1260 55 41 14

MONDAY TUESDAY WEDNESDAY THURSDAY FRIDAY

week 1 03.02.2014 04.02.2014 05.02.2014 06.02.2014 07.02.2014

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 1.3585 1.3535 1.3540 1.3600

closed at 1.3605 20 1.3505 30 1.3510 30 1.3570 30

GBP/USD entry 1.6440 1.6340 1.6270

closed at 1.6290 150 1.6310 30 1.6300 30

EUR/USD entry 1.3540

closed at 1.3510 30

GBP/USD entry 1.6325 1.6290 1.6310

closed at 1.6355 30 1.6310 30 1.6280 30

GBP/USD 1.6200 1.6170 -30

MONDAY TUESDAY WEDNESDAY THURSDAY FRIDAY

week 2 10.02.2014 11.02.2014 12.02.2014 13.02.2014 14.02.2014

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 1.3640 1.3680 1.3575 1.3635 1.6715

closed at 1.3670 -30 1.3650 30 1.3715 140 1.3665 -30 1.6745 -30

GBP/USD entry 1.6420 1.6460 1.6465 1.6620

closed at 1.6390 30 1.6430 30 1.6500 -35 1.6705 -95

EUR/USD entry 1.6570 1.3680

closed at 1.6600 -30 1.3715 -30

GBP/USD entry 1.6535

closed at 1.6565 -30

Copyrighted © 2010-2014 by www.profit-forexsignals.com All rights reserved.

Profit Forex Signal

Feb-14

Page 4: Profit Forex Signalweek 2 10.02.2014 11.02.2014 12.02.2014 13.02.2014 14.02.2014 ... Profit Forex Signal customer report Ju;y 2014 week 1 week 2 week 3 week 4 week 5 TOTAL Total trades

MONDAY TUESDAY WEDNESDAY THURSDAY FRIDAY

week 3 17.02.2014 18.02.2014 19.02.2014 20.02.2014 21.02.2014

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 1.3720 1.3715 1.3695 1.3760

closed at 1.3690 30 1.3750 -35 1.3725 30 1.3730 30

GBP/USD entry 1.6770 1.6675 1.6675 1.6690 1.6675

closed at 1.6805 -35 1.6705 30 1.6705 30 1.6660 30 1.6645 30

EUR/USD entry 1.6695 GBP/USD 1.6695

closed at 1.6725 30 1.6725 30

GBP/USD entry 1.6790 1.3775 1.6680

closed at 1.6640 150 1.3745 30 1.6710 -30

GBP/USD 1.6695

1.6725 30

MONDAY TUESDAY WEDNESDAY THURSDAY FRIDAY

week 4 24.02.2014 25.02.2014 26.02.2014 27.02.2014 28.02.2014

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 1.3750 1.3765 1.3650 1.3795

closed at 1.3720 30 1.3735 30 1.3800 150 Results will be published in next month performace

GBP/USD entry 1.6620 1.6680 1.6690 1.6675 1.6640

closed at 1.6650 30 1.6710 -30 1.6620 70 1.6645 30 1.6610 30

EUR/USD entry 1.3760 1.6760

closed at 1.3680 80 Results will be published in next month performace

GBP/USD entry 1.6670 1.6715 1.6695 1.6765

closed at 1.6600 70 1.6685 30 1.6725 -30 1.6735 30

GBP/USD 1.6705

1.6675 30

MONDAY TUESDAY WEDNESDAY THURSDAY FRIDAY

week 5

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

closed at

GBP/USD entry

closed at

EUR/USD entry

closed at

GBP/USD entry

closed at

Copyrighted © 2010-2014 by www.profit-forexsignals.com All rights reserved.

Page 5: Profit Forex Signalweek 2 10.02.2014 11.02.2014 12.02.2014 13.02.2014 14.02.2014 ... Profit Forex Signal customer report Ju;y 2014 week 1 week 2 week 3 week 4 week 5 TOTAL Total trades

customer report

week 1 week 2 week 3 week 4 week 5 TOTAL Total trades wining losing

405 150 320 315 30 1220 48 36 12

MONDAY TUESDAY WEDNESDAY THURSDAY FRIDAY

week 1 03.03.2014 04.03.2014 05.03.2014 06.03.2014 07.03.2014

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 1.3795 1.3740 1.3720 1.3910

closed at 1.3765 30 1.3770 -30 1.3750 -30 1.3840 70

GBP/USD entry 1.6795 1.6710 1.6715 1.6765

closed at 1.6765 30 1.6680 30 1.6745 -30 1.6745 20

EUR/USD entry 1.3780 1.3855

closed at 1.3750 30 1.3900 -45

GBP/USD entry 1.6770 1.6770 1.6780

closed at 1.6700 70 1.6740 30 1.6630 150

GBP/USD 1.6735

1.6655 80

MONDAY TUESDAY WEDNESDAY THURSDAY FRIDAY

week 2 10.03.2014 11.03.2014 12.03.2014 13.03.2014 14.03.2014

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 1.3890 1.3870 1.3905 1.3960 1.3930

closed at 1.3860 30 1.3900 -30 1.3935 -30 1.3880 80 1.3900 30

GBP/USD entry 1.6620 1.6630 1.6680

closed at 1.6590 -30 1.6660 -30 1.6705 -35

EUR/USD entry 1.6710 1.3925

closed at 1.6570 140 1.3895 30

GBP/USD entry 1.6630 1.6630

closed at 1.6595 -35 1.6600 30

Copyrighted © 2010-2014 by www.profit-forexsignals.com All rights reserved.

Profit Forex Signal

Mar-14

Page 6: Profit Forex Signalweek 2 10.02.2014 11.02.2014 12.02.2014 13.02.2014 14.02.2014 ... Profit Forex Signal customer report Ju;y 2014 week 1 week 2 week 3 week 4 week 5 TOTAL Total trades

MONDAY TUESDAY WEDNESDAY THURSDAY FRIDAY

week 3 17.03.2014 18.03.2014 19.03.2014 20.03.2014 21.03.2014

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 1.3940 1.3935 1.3940

closed at 1.3920 20 1.3905 30 1.3910 30

GBP/USD entry 1.6645 1.6630

closed at 1.6615 30 1.6480 150

EUR/USD entry 1.3925

closed at 1.3895 30

GBP/USD entry 1.6520

closed at 1.6550 30

MONDAY TUESDAY WEDNESDAY THURSDAY FRIDAY

week 4 24.03.2014 25.03.2014 26.03.2014 27.03.2014 28.03.2014

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 1.3800 1.3775 1.3755 1.3715

closed at 1.3770 -30 1.3805 30 1.3720 -35 1.3785 80

GBP/USD entry 1.6500 1.6525 1.6550 1.6640 1.6645

closed at 1.6470 30 1.6495 30 1.6580 -30 1.6610 30 1.6615 30

EUR/USD entry 1.6470 GBP/USD 1.3830

closed at 1.6500 30 1.3800 30

GBP/USD entry 1.6500

closed at 1.6530 -30

1.3870

1.3720 150

MONDAY TUESDAY WEDNESDAY THURSDAY FRIDAY

week 5 31.03.2014

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

closed at

GBP/USD entry 1.6670

closed at Result for this trade will be published in results for April.

EUR/USD entry

closed at

GBP/USD entry 1.6450

closed at 1.6420 30

Copyrighted © 2010-2014 by www.profit-forexsignals.com All rights reserved.

Page 7: Profit Forex Signalweek 2 10.02.2014 11.02.2014 12.02.2014 13.02.2014 14.02.2014 ... Profit Forex Signal customer report Ju;y 2014 week 1 week 2 week 3 week 4 week 5 TOTAL Total trades

customer report

week 1 week 2 week 3 week 4 week 5 TOTAL Total trades wining losing

220 210 30 170 90 720 25 19 6

MONDAY TUESDAY WEDNESDAY THURSDAY FRIDAY

week 1 01.04.2014 02.04.2014 03.04.2014 04.04.2014

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 1.3815

closed at 1.3785 30

GBP/USD entry 1.6670 1.6660 1.6660

closed at 1.6690 80 1.6630 30 1.6680 80

EUR/USD entry

closed at

GBP/USD entry

closed at

MONDAY TUESDAY WEDNESDAY THURSDAY FRIDAY

week 2 07.04.2014 08.04.2014 09.04.2014 10.04.2014 11.04.2014

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 1.3700 1.3870

closed at 1.3840 140 1.3790 80

GBP/USD entry 1.6590 1.6710 1.6880 1.6790

closed at 1.6620 -30 1.6740 -30 1.6770 30 1.6710 80

EUR/USD entry 1.3800

closed at 1.3835 -30

GBP/USD entry 1.6750

closed at 1.6780 -30

Copyrighted © 2010-2014 by www.profit-forexsignals.com All rights reserved.

Profit Forex Signal

Apr-14

Page 8: Profit Forex Signalweek 2 10.02.2014 11.02.2014 12.02.2014 13.02.2014 14.02.2014 ... Profit Forex Signal customer report Ju;y 2014 week 1 week 2 week 3 week 4 week 5 TOTAL Total trades

MONDAY TUESDAY WEDNESDAY THURSDAY FRIDAY

week 3 14.04.2014 15.04.2014 16.04.2014 17.04.2014 18.04.2014

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 1.3800

closed at 1.3830 30

GBP/USD entry 1.6730 1.6840

closed at 1.6760 -30 1.6810 30

EUR/USD entry

closed at

GBP/USD entry

closed at

MONDAY TUESDAY WEDNESDAY THURSDAY FRIDAY

week 4 21.04.2014 22.04.2014 23.04.2014 24.04.2014 25.04.2014

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 1.3805 1.3850 1.3850 1.3845

closed at 1.3835 30 1.3820 30 1.3820 30 1.3845 0

GBP/USD entry 1.6840

closed at 1.6760 80

EUR/USD entry

closed at

GBP/USD entry

closed at

MONDAY TUESDAY WEDNESDAY THURSDAY FRIDAY

week 5 28.04.2014 29.04.2014 30.04.2014

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

closed at

GBP/USD entry 1.6810 1.6850 1.6885

closed at 1.6780 30 1.6820 30 1.6915 -30

EUR/USD entry

closed at

GBP/USD entry 1.6855 1.6850

closed at 1.6825 30 1.6820 30

Copyrighted © 2010-2014 by www.profit-forexsignals.com All rights reserved.

Page 9: Profit Forex Signalweek 2 10.02.2014 11.02.2014 12.02.2014 13.02.2014 14.02.2014 ... Profit Forex Signal customer report Ju;y 2014 week 1 week 2 week 3 week 4 week 5 TOTAL Total trades

customer report

week 1 week 2 week 3 week 4 week 5 TOTAL Total trades wining losing

40 330 310 270 205 1155 31 24 7

MONDAY TUESDAY WEDNESDAY THURSDAY FRIDAY

week 1 01.05.2014 02.05.2014

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 1.3875

closed at 1.3915 -30

GBP/USD entry 1.6910

closed at 1.6840 70

EUR/USD entry

closed at

GBP/USD entry

closed at

MONDAY TUESDAY WEDNESDAY THURSDAY FRIDAY

week 2 05.05.2014 06.05.2014 07.05.2014 08.05.2014 09.05.2014

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 1.3925

closed at 1.3775 150

GBP/USD entry 1.6890 1.6940

closed at 1.6860 30 1.6790 150

EUR/USD entry

closed at

GBP/USD entry

closed at

Copyrighted © 2010-2014 by www.profit-forexsignals.com All rights reserved.

Profit Forex Signal

May-14

Page 10: Profit Forex Signalweek 2 10.02.2014 11.02.2014 12.02.2014 13.02.2014 14.02.2014 ... Profit Forex Signal customer report Ju;y 2014 week 1 week 2 week 3 week 4 week 5 TOTAL Total trades

MONDAY TUESDAY WEDNESDAY THURSDAY FRIDAY

week 3 12.05.2014 13.05.2014 14.05.2013 15.05.2014 16.05.2014

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 1.3750 1.3705 1.3660 1.3720

closed at 1.3720 -30 1.3675 -30 1.3690 30 1.3690 30

GBP/USD entry 1.6890 1.6820 1.6760

closed at 1.6810 80 1.6850 30 1.6840 80

EUR/USD entry 1.3750

closed at 1.3720 -30

GBP/USD entry 1.6830

closed at 1.6740 150

MONDAY TUESDAY WEDNESDAY THURSDAY FRIDAY

week 4 19.05.2014 20.05.2014 21.05.2014 22.05.2014 23.05.2014

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 1.3690 1.3705 1.3660 1.3615

closed at 1.3720 30 1.3675 -30 1.3630 -30 1.3645 30

GBP/USD entry 1.6830 1.6840 1.6890 1.6900 1.6840

closed at 1.6800 30 1.6870 -30 1.6860 30 1.6750 150 1.6870 30

EUR/USD entry 1.3655

closed at 1.3685 30

GBP/USD entry 1.6900

closed at 1.6970 30

MONDAY TUESDAY WEDNESDAY THURSDAY FRIDAY

week 5 26.05.2014 27.05.2014 28.05.2014 29.05.2014 30.05.2014

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 1.3610

closed at 1.3640 30

GBP/USD entry 1.6875 1.6770 1.6700 1.6750

closed at 1.6835 140 1.6735 -35 1.6730 30 1.6730 20

EUR/USD entry

closed at

GBP/USD entry 1.6770

closed at 1.6750 20

Copyrighted © 2010-2014 by www.profit-forexsignals.com All rights reserved.

Page 11: Profit Forex Signalweek 2 10.02.2014 11.02.2014 12.02.2014 13.02.2014 14.02.2014 ... Profit Forex Signal customer report Ju;y 2014 week 1 week 2 week 3 week 4 week 5 TOTAL Total trades

customer report

week 1 week 2 week 3 week 4 week 5 TOTAL Total trades wining losing

380 80 190 165 815 52 42 10

MONDAY TUESDAY WEDNESDAY THURSDAY FRIDAY

week 1 02.06.2014 03.06.2014 04.06.2014 05.06.2014 05.06.2014

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 1.3600 1.3645 1.3600 1.3560 1.3660

closed at 1.3620 20 1.3615 30 1.3630 30 1.3540 -20 1.3630 30

GBP/USD entry 1.6760 1.6710 1.6780

closed at 1.6740 20 1.6790 80 1.6750 30

EUR/USD entry 1.3595 1.3610 1.3540 1.3665

closed at 1.3615 20 1.3640 30 Canceled, sent too late! We miss entry point. 1.3635 30

GBP/USD entry 1.6760 1.6760 1.6780

closed at 1.6730 30 1.6740 20 1.6750 30

EUR/USD 1.3645 GBP/USD 1.6760 1.3620

1.3615 30 1.679 -30 1.3650 -30

MONDAY TUESDAY WEDNESDAY THURSDAY FRIDAY

week 2 09.06.2014 10.04.2014 11.04.2014 12.04.2014 13.04.2014

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 1.3580 1.3540 1.3565 1.3525

closed at 1.3550 -30 1.3570 30 1.3545 20 1.3555 30

GBP/USD entry 1.6800 1.6770 1.6770 1.6990

closed at 1.6770 -30 1.6800 30 1.6805 -30 1.6960 30

EUR/USD entry

closed at

GBP/USD entry 1.6815

closed at 1.6785 30

Copyrighted © 2010-2014 by www.profit-forexsignals.com All rights reserved.

Profit Forex Signal

Jun-14

Page 12: Profit Forex Signalweek 2 10.02.2014 11.02.2014 12.02.2014 13.02.2014 14.02.2014 ... Profit Forex Signal customer report Ju;y 2014 week 1 week 2 week 3 week 4 week 5 TOTAL Total trades

MONDAY TUESDAY WEDNESDAY THURSDAY FRIDAY

week 3 16.06.2014 17.06.2014 18.06.2014 19.06.2014 20.06.2014

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 1.3580 1.3600 1.3635 1.3610

closed at 1.3550 30 1.3630 -30 1.3615 20 1.3630 30

GBP/USD entry 1.6980 1.6985 1.6960 1.7015

closed at 1.6950 30 1.6955 30 1.6930 30 1.7045 -30

EUR/USD entry 1.3575 1.3640 1.3600

closed at 1.3545 30 1.3610 30 1.3600 0

GBP/USD entry 1.6955 1.7020 1.7005

closed at 1.6925 30 1.6990 30 1.7035 30

GBP/USD 1.6950

1.7020 -70

MONDAY TUESDAY WEDNESDAY THURSDAY FRIDAY

week 4 23.06.2014 24.06.2014 25.06.2014 26.06.2014 27.06.2014

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 1.3630 1.3625 1.3635

closed at 1.3600 30 1.3595 30

GBP/USD entry 1.7030 1.6990 1.6995 1.7030

closed at 1.7000 30 1.6965 -35 1.7025 -30 Results for this 2 trades will be updated in July report

EUR/USD entry

closed at

GBP/USD entry 1.7000 1.7035 1.7040

closed at 1.7030 30 1.6955 80 1.7010 30

MONDAY TUESDAY WEDNESDAY THURSDAY FRIDAY

week 5 30.06.2014

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

closed at

GBP/USD entry

closed at

EUR/USD entry

closed at

GBP/USD entry

closed at

Copyrighted © 2010-2014 by www.profit-forexsignals.com All rights reserved.

Page 13: Profit Forex Signalweek 2 10.02.2014 11.02.2014 12.02.2014 13.02.2014 14.02.2014 ... Profit Forex Signal customer report Ju;y 2014 week 1 week 2 week 3 week 4 week 5 TOTAL Total trades

Profit Forex Signal

customer report

Ju;y 2014

week 1 week 2 week 3 week 4 week 5 TOTAL Total trades wining losing

150 190 280 -5 60 675 31 22 9

MONDAY TUESDAY WEDNESDAY THURSDAY FRIDAY

week 1 01.07.2014 02.07.2014 03.07.2014 04.07.2014

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 1.3695 1.3655

closed at 1.3615 80 1.3625 -30

GBP/USD entry 1.7120 1.7170

closed at 1.7090 30 1.7100 70

EUR/USD entry

closed at

GBP/USD entry

closed at

MONDAY TUESDAY WEDNESDAY THURSDAY FRIDAY

week 2 07.07.2014 08.07.2014 09.07.2014 10.07.2014 11.07.2014

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 1.3580 1.3590 1.3595

closed at 1.3610 30 1.3620 30 1.3625 30

GBP/USD entry 1.7120 1.7135 1.7150 1.7140

closed at 1.7090 -30 1.7115 20 1.7120 30 1.7120 20

EUR/USD entry 1.3620

closed at 1.3590 30

GBP/USD entry 1.7150

closed at 1.7120 30

Copyrighted © 2010-2014 by www.profit-forexsignals.com All rights reserved.

MONDAY TUESDAY WEDNESDAY THURSDAY FRIDAY

Page 14: Profit Forex Signalweek 2 10.02.2014 11.02.2014 12.02.2014 13.02.2014 14.02.2014 ... Profit Forex Signal customer report Ju;y 2014 week 1 week 2 week 3 week 4 week 5 TOTAL Total trades

week 3 14.07.2014 15.07.2014 16.07.2014 17.07.2014 18.07.2014

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 1.3640 1.3595

closed at 1.3610 30 1.3615 20

GBP/USD entry 1.7140 1.7145 1.7140

closed at 1.7060 80 1.7115 30 1.6990 150

EUR/USD entry 1.3565

closed at 1.3535 -30

GBP/USD entry

closed at

MONDAY TUESDAY WEDNESDAY THURSDAY FRIDAY

week 4 21.07.2014 22.07.2014 23.07.2014 24.07.2014 25.07.2014

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 1.3580 1.3460 1.3425

closed at 1.3550 -30 1.3395 -75 1.3395 -30

GBP/USD entry 1.7090 1.7080 1.7080 1.6985

closed at 1.7010 80 1.7050 30 1.7000 80 1.6955 -30

EUR/USD entry

closed at

GBP/USD entry 1.7130

closed at 1.6995 -30

MONDAY TUESDAY WEDNESDAY THURSDAY FRIDAY

week 5 28.07.2014 29.07.2014 30.07.2014 31.07.2014

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 1.3370 1.3380

closed at 1.3400 30 1.3410 30

GBP/USD entry 1.6930 1.6880

closed at 1.6895 -30 1.6900 30

EUR/USD entry

closed at

GBP/USD entry

closed at

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Page 15: Profit Forex Signalweek 2 10.02.2014 11.02.2014 12.02.2014 13.02.2014 14.02.2014 ... Profit Forex Signal customer report Ju;y 2014 week 1 week 2 week 3 week 4 week 5 TOTAL Total trades

customer report

week 1 week 2 week 3 week 4 week 5 TOTAL Total trades wining losing

235 310 140 120 805 27 22 5

MONDAY TUESDAY WEDNESDAY THURSDAY FRIDAY

week 1 01.08.2014

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

closed at

GBP/USD entry

closed at

EUR/USD entry

closed at

GBP/USD entry

closed at

MONDAY TUESDAY WEDNESDAY THURSDAY FRIDAY

week 2 04.08.2014 05.08.2014 06.08.2014 07.08.2014 08.08.2014

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 1.3435 1.3335 1.3400

closed at 1.3355 80 1.3365 30 1.3380 30

GBP/USD entry 1.6820 1.6870 1.6805

closed at 1.6850 30 1.6840 30 1.6770 -35

EUR/USD entry

closed at

GBP/USD entry 1.6885

closed at 1.6805 80

Copyrighted © 2010-2014 by www.profit-forexsignals.com All rights reserved.

Profit Forex Signal

Aug-14

Page 16: Profit Forex Signalweek 2 10.02.2014 11.02.2014 12.02.2014 13.02.2014 14.02.2014 ... Profit Forex Signal customer report Ju;y 2014 week 1 week 2 week 3 week 4 week 5 TOTAL Total trades

MONDAY TUESDAY WEDNESDAY THURSDAY FRIDAY

week 3 11.08.2014 12.08.2014 13.08.2014 14.08.2014 15.08.2014

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 1.3345 1.3410

closed at 1.3415 70 1.3380 30

GBP/USD entry 1.6770 1.6810 1.6710 1.6655

closed at 1.6800 30 1.6740 80 1.6730 20 1.6735 80

EUR/USD entry

closed at

GBP/USD entry

closed at

MONDAY TUESDAY WEDNESDAY THURSDAY FRIDAY

week 4 18.08.2014 19.08.2014 20.08.2014 21.08.2014 22.08.2014

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 1.3385 1.3340 1.3285 1.3250 1.3230

closed at 1.3350 -35 1.3295 -35 1.3250 -30 1.3280 30 1.3250 30

GBP/USD entry 1.6725 1.6640

closed at 1.6575 150 1.6670 30

EUR/USD entry

closed at

GBP/USD entry

closed at

MONDAY TUESDAY WEDNESDAY THURSDAY FRIDAY

week 5 25.08.2014 26.08.2014 27.08.2014 28.08.2014 29.08.2014

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 1.3195 1.3140

closed at 1.3145 -50 Result of this trade will be published in next month.

GBP/USD entry 1.6540 1.6585 1.6600 1.6615

closed at 1.6560 30 1.6585 0 1.6570 30 1.6585 30

EUR/USD entry

closed at

GBP/USD entry 1.6535

closed at 1.6615 80

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Page 17: Profit Forex Signalweek 2 10.02.2014 11.02.2014 12.02.2014 13.02.2014 14.02.2014 ... Profit Forex Signal customer report Ju;y 2014 week 1 week 2 week 3 week 4 week 5 TOTAL Total trades

customer report

week 1 week 2 week 3 week 4 week 5 TOTAL Total trades wining losing

80 460 505 450 100 1595 65 46 19

MONDAY TUESDAY WEDNESDAY THURSDAY FRIDAY

week 1 01.09.2014 02.09.2014 03.09.2014 04.09.2014 05.09.2014

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 1.3115 1.3115 1.3120 1.2930

closed at 1.3085 -30 1.3145 30 1.3090 -30 1.2960 30

GBP/USD entry 1.6630 1.6580 1.6520 1.6310

closed at 1.6480 150 1.6545 -35 1.6490 -30 1.6340 30

EUR/USD entry 1.3115 1.3020

closed at 1.3080 -35

GBP/USD entry 1.6520 1.2925

closed at 1.6490 -30 1.2955 30

MONDAY TUESDAY WEDNESDAY THURSDAY FRIDAY

week 2 08.09.2014 09.09.2014 10.09.2014 11.09.2014 12.09.2014

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 1.2940 1.2900 1.6130 1.2950 1.2910

closed at 1.2985 -45 1.2870 -30 1.6100 30 1.2930 20 1.2980 70

GBP/USD entry 1.6155 1.6105 1.6080 1.6140 1.6215

closed at 1.6120 -35 1.6075 -30 1.6150 70 1.6070 70 1.6185 30

EUR/USD entry 1.6100 1.2865 1.2925 1.6130 1.6265

closed at 1.6130 30 1.2935 70 1.2955 -30 1.6160 -30 1.6195 70

GBP/USD entry 1.6175 1.6080 1.2945 1.6075 1.6225

closed at 1.6205 30 1.6110 30 1.2925 20 1.6215 150 1.6255 -30

Copyrighted © 2010-2014 by www.profit-forexsignals.com All rights reserved.

Profit Forex Signal

Sep-14

Page 18: Profit Forex Signalweek 2 10.02.2014 11.02.2014 12.02.2014 13.02.2014 14.02.2014 ... Profit Forex Signal customer report Ju;y 2014 week 1 week 2 week 3 week 4 week 5 TOTAL Total trades

MONDAY TUESDAY WEDNESDAY THURSDAY FRIDAY

week 3 15.09.2014 16.09.2014 17.09.2014 18.09.2014 19.09.2014

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 1.2930 1.2925 1.6320 1.2950 1.2835

closed at 1.2960 30 1.2955 30 1.6290 30 1.2970 20 1.2915 80

GBP/USD entry 1.6230 1.6175 1.6280 1.6320 1.6310

closed at 1.6195 -35 1.6325 150 1.6250 30 1.6350 -30 1.6290 20

EUR/USD entry 1.2980 1.2965 1.2910

closed at 1.2830 150 1.2945 20 1.2875 -35

GBP/USD entry 1.6220 1.6300 1.6340 1.6370

closed at 1.6250 -30 1.6270 30 1.6260 80 1.6405 -35

MONDAY TUESDAY WEDNESDAY THURSDAY FRIDAY

week 4 22.09.2014 23.09.2014 24.09.2014 25.09.2014 29.09.2014

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 1.2860 1.2880 1.2845 1.2835 1.2690

closed at 1.2840 20 1.2730 150 1.2865 20 1.2865 30 1.2655 -35

GBP/USD entry 1.6320 1.6410 1.6320 1.6235

closed at 1.6390 70 1.6270 140 1.6270 -50 1.6265 30

EUR/USD entry 1.2825 1.2835 1.2780

closed at 1.2855 30 1.2800 -35 1.2745 -35

GBP/USD entry 1.2830 1.6370 1.2730

closed at 1.2860 30 1.6350 20 1.2695 -35

MONDAY TUESDAY WEDNESDAY THURSDAY FRIDAY

week 5 29.09.2014 30.09.2014

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

closed at

GBP/USD entry 1.6265

closed at 1.6185 80

EUR/USD entry

closed at

GBP/USD entry 1.6185

closed at 1.6205 20

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Page 19: Profit Forex Signalweek 2 10.02.2014 11.02.2014 12.02.2014 13.02.2014 14.02.2014 ... Profit Forex Signal customer report Ju;y 2014 week 1 week 2 week 3 week 4 week 5 TOTAL Total trades

customer report

week 1 week 2 week 3 week 4 week 5 TOTAL Total trades wining losing

480 425 380 390 325 2000 64 51 13

MONDAY TUESDAY WEDNESDAY THURSDAY FRIDAY

week 1 01.10.2014 02.10.2014 03.10.2014

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 1.2590 1.2660 1.2515

closed at 1.2620 30 1.2630 30 1.2665 150

GBP/USD entry 1.6185 1.6160 1.6060

closed at 1.6205 20 1.6125 -35 1.6025 -35

EUR/USD entry 1.2600 1.2670 1.5960

closed at 1.2620 20 1.2520 150 1.5980 20

GBP/USD entry 1.6180 1.6125 1.5960

closed at 1.6250 70 1.6145 20 1.5880 20

MONDAY TUESDAY WEDNESDAY THURSDAY FRIDAY

week 2 06.10.2014 07.10.2014 08.10.2014 09.10.2014 10.10.2014

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 1.2650 1.2680 1.2780

closed at 1.2630 20 1.2650 30 1.2750 30

GBP/USD entry 1.5960 1.6100 1.6180 1.6045

closed at 1.6110 150 1.6080 20 1.6215 -35 1.6125 80

EUR/USD entry 1.6090 1.2610

closed at 1.6060 30 1.2760 150

GBP/USD entry 1.6030 1.6115

closed at 1.6060 -30 1.6085 30

Copyrighted © 2010-2014 by www.profit-forexsignals.com All rights reserved.

Profit Forex Signal

Oct-14

Page 20: Profit Forex Signalweek 2 10.02.2014 11.02.2014 12.02.2014 13.02.2014 14.02.2014 ... Profit Forex Signal customer report Ju;y 2014 week 1 week 2 week 3 week 4 week 5 TOTAL Total trades

MONDAY TUESDAY WEDNESDAY THURSDAY FRIDAY

week 3 13.10.2014 14.10.2014 15.10.2014 16.10.2014 17.10.2014

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 1.2695 1.5895 1.2660 1.6050 1.2835

closed at 1.2665 30 1.5925 30 1.2700 -40 1.6100 -50 1.2805 30

GBP/USD entry 1.6095 1.6030 1.5895 1.6015 1.6110

closed at 1.6065 30 1.5995 -35 1.6045 150 1.5985 30 1.6080 30

EUR/USD entry 1.6050 1.5915 1.2795 1.6020

closed at 1.6080 30 1.5945 30 1.2830 -30 1.6050 -30

GBP/USD entry 1.5970 1.5895 1.6015 1.6125

closed at 1.5935 -35 1.6045 150 1.5985 30 1.6095 30

MONDAY TUESDAY WEDNESDAY THURSDAY FRIDAY

week 4 20.10.2014 21.10.2014 22.10.2014 23.10.2014 24.10.2014

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 1.2735 1.2845 1.2650

closed at 1.2815 80 1.2695 150 1.268 30

GBP/USD entry 1.6110 1.6185 1.6105 1.6030

closed at 1.6080 30 1.6155 30 1.6085 -30 1.6110 80

EUR/USD entry 1.6180 1.2720

closed at 1.6150 30 1.2695 -35

GBP/USD entry 1.6115 1.6175 1.6025

closed at 1.6150 -35 1.6145 30 1.6055 30

MONDAY TUESDAY WEDNESDAY THURSDAY FRIDAY

week 5 27.10.2014 28.10.2014 29.10.2014 30.10.2014 31.10.2014

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 1.2670 1.2760 1.2565

closed at 1.2700 30 1.2680 80 1.2530 -35

GBP/USD entry 1.6140 1.6100 1.6120 1.5975

closed at 1.6120 20 1.6130 30 1.6150 30 1.6005 30

EUR/USD entry 1.2635

closed at 1.2655 20 1.2515

GBP/USD entry 1.6100 1.6180 Result of this trade will be updated in report for November

closed at 1.6130 -30 1.6030 150

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Page 21: Profit Forex Signalweek 2 10.02.2014 11.02.2014 12.02.2014 13.02.2014 14.02.2014 ... Profit Forex Signal customer report Ju;y 2014 week 1 week 2 week 3 week 4 week 5 TOTAL Total trades

customer report

week 1 week 2 week 3 week 4 week 5 TOTAL Total trades wining losing

360 285 475 410 1525 56 41 15

MONDAY TUESDAY WEDNESDAY THURSDAY FRIDAY

week 1 03.11.2014 04.11.2014 05.11.2014 06.11.2014 07.11.2014

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 1.2485 1.2470 1.2410

closed at 1.2565 80 1.2500 30 1.2440 30

GBP/USD entry 1.5970 1.6010 1.5950 1.5850 1.5830

closed at 1.5940 -30 1.6080 30 1.5915 -35 1.5820 -30 1.5860 30

EUR/USD entry 1.2570 GBP/USD 1.5960

closed at 1.2540 30 1.5820 150

GBP/USD entry 1.5985 1.5875

closed at 1.5955 30 1.5955 80

MONDAY TUESDAY WEDNESDAY THURSDAY FRIDAY

week 2 10.11.2014 11.11.2014 12.11.2014 13.11.2014 14.11.2014

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 1.2465 1.2400 1.2480 1.2535

closed at 1.2495 30 1.2480 80 1.2410 70 1.2570 -35

GBP/USD entry 1.5895 1.5930 1.5810 1.5695 1.5665

closed at 1.5865 30 1.5900 30 1.5840 30 1.5665 -30 1.5635 -30

EUR/USD entry 1.2455

closed at 1.2490 -35

GBP/USD entry 1.5840 1.5810 1.5760 1.5620

closed at 1.5920 80 1.5830 20 1.5725 -35 1.5690 70

Copyrighted © 2010-2014 by www.profit-forexsignals.com All rights reserved.

Profit Forex Signal

Nov-14

Page 22: Profit Forex Signalweek 2 10.02.2014 11.02.2014 12.02.2014 13.02.2014 14.02.2014 ... Profit Forex Signal customer report Ju;y 2014 week 1 week 2 week 3 week 4 week 5 TOTAL Total trades

MONDAY TUESDAY WEDNESDAY THURSDAY FRIDAY

week 3 17.11.2014 18.11.2014 19.11.2014 20.11.2014 21.11.2014

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 1.2510 1.2505 1.2515

closed at 1.2545 -35 1.2535 30 1.2545 30

GBP/USD entry 1.5670 1.5635 1.5690 1.5685 1.5635

closed at 1.5690 20 1.5665 30 1.5670 20 1.5655 30 1.5665 30

EUR/USD entry 1.5625 GBP/USD GBP/USD 1.5725 1.2430

closed at 1.5705 80 1.5645 80 1.2460 30

GBP/USD entry 1.5635 1.5630 1.5690 1.5690 1.2460

closed at 1.5665 30 1.5660 30 1.5670 20 1.5725 -35 1.2425 -35

1.2415 1.2385 -30

1.2380 1.2530 150

MONDAY TUESDAY WEDNESDAY THURSDAY FRIDAY

week 4 24.11.2014 25.11.2014 26.11.2014 27.11.2014 29.11.2014

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 GBP/USD 1.5705 1.2430 1.2435

closed at 1.5775 30 1.2400 30 1.2465 30

GBP/USD entry 1.5660 1.5715 1.5745 1.5805

closed at 1.5640 20 1.5685 30 1.5775 -30 1.5665 150

EUR/USD entry GBP/USD 1.5700 1.2490

closed at 1.5670 30 1.2460 30

GBP/USD entry 1.5630 1.5780 1.5750

closed at 1.5780 150 1.5810 -30 1.5720 -30

MONDAY TUESDAY WEDNESDAY THURSDAY FRIDAY

week 5

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

closed at

GBP/USD entry

closed at

EUR/USD entry

closed at

GBP/USD entry

closed at

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Page 23: Profit Forex Signalweek 2 10.02.2014 11.02.2014 12.02.2014 13.02.2014 14.02.2014 ... Profit Forex Signal customer report Ju;y 2014 week 1 week 2 week 3 week 4 week 5 TOTAL Total trades

customer report

week 1 week 2 week 3 week 4 week 5 TOTAL Total trades wining losing

445 290 670 160 30 1565 56 41 15

MONDAY TUESDAY WEDNESDAY THURSDAY FRIDAY

week 1 01.12.2014 02.12.2014 03.12.2014 04.12.2014 05.12.2014

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 1.2425 1.2410 1.2325 1.2380

closed at 1.2505 80 1.2375 -35 1.2290 -35 1.2515 -35

GBP/USD entry 1.5600 1.5660 1.5715 1.5665

closed at 1.5750 150 1.5690 30 1.5685 30 1.5695 30

EUR/USD entry 1.2425

closed at 1.2455 30

GBP/USD entry EUR/USD 1.2475 1.5720

closed at 1.2505 -30 1.5570 150

1.5750 1.5670 80

MONDAY TUESDAY WEDNESDAY THURSDAY FRIDAY

week 2 08.12.2014 09.12.2014 10.12.2014 11.12.2014 12.12.2014

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 1.2280 1.2360 1.2430 1.2485 1.2465

closed at 1.2250 -30 1.2400 -40 1.2465 -35 1.2455 30 1.2445 20

GBP/USD entry 1.5565 1.5690 1.5700 1.5750 1.5735

closed at 1.5715 150 1.5660 30 1.5730 -30 1.5720 30 1.5705 30

EUR/USD entry 1.2255 1.2430 1.2480

closed at 1.2275 30 1.2400 30 1.2450 30

GBP/USD entry 1.5630 1.2380 EUR/USD

closed at 1.5665 -35 1.2460 80

gbp/usd 1.5675 1.5645 30 1.2400 1.2430 -30

Copyrighted © 2010-2014 by www.profit-forexsignals.com All rights reserved.

Profit Forex Signal

Dec-14

Page 24: Profit Forex Signalweek 2 10.02.2014 11.02.2014 12.02.2014 13.02.2014 14.02.2014 ... Profit Forex Signal customer report Ju;y 2014 week 1 week 2 week 3 week 4 week 5 TOTAL Total trades

MONDAY TUESDAY WEDNESDAY THURSDAY FRIDAY

week 3 15.12.2014 16.12.2014 17.12.2014 18.12.2014 19.12.2014

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 1.2480 1.5655 GBP/USD 1.2555 1.2400 1.2305

closed at 1.2450 30 1.5630 -25 1.2415 150 1.2430 30 1.2335 30

GBP/USD entry 1.5735 1.5615 1.5720 1.5730

closed at 1.5705 30 1.5645 30 1.5690 30 1.5580 150

EUR/USD entry 1.2445 GBP/USD 1.5730 1.5755 1.2350 1.2310

closed at 1.2475 30 1.5660 70 1.5725 30 1.2315 -35 1.2375 -35

GBP/USD entry 1.5730 1.5660 1.5760 1.5550

closed at 1.5710 20 1.5630 30 1.5730 30 1.5580 30

1.2430 1.2510 80 1.2455 1.2415 -30

1.2485 1.2520 -35 1.5730 1.5700 30

MONDAY TUESDAY WEDNESDAY THURSDAY FRIDAY

week 4 22.12.2014 23.12.2014 24.12.2014 25.12.2014 26.12.2014

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 1.2225 1.2215

closed at 1.2245 30 1.2245 30

GBP/USD entry 1.5505

closed at 1.5535 30

EUR/USD entry 1.2260

closed at 1.2190 70

GBP/USD entry

closed at

MONDAY TUESDAY WEDNESDAY THURSDAY FRIDAY

week 5 29.12.2014 30.12.2014 31.12.2014

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

closed at

GBP/USD entry 1.5565

closed at 1.5535 30

EUR/USD entry

closed at

GBP/USD entry

closed at

Copyrighted © 2010-2014 by www.profit-forexsignals.com All rights reserved.