egyébként támogatom a shortod meg némi kis kábel short is a cac shortok mellé :D:D:D
egyébként támogatom a shortod meg némi kis kábel short is a cac shortok mellé :D:D:D
sztem a topic komolyságát meg kéne őrizni azzal, hogy valaki vagy időben irja be a poziját (a szint nem kell de kb akkor induljon amikor beirja) és nem utólag (ha ez nem megy akkor sehogy) (asszem ezt már kifogásolta Ursi, talán emiatt is nem ir ide) . mert ennek nulla információ tartalma van. Ez nem is lenne baj amúgy csak elsikkadnak emiatt az értelmes beírások is....
Akik ebben példamutatók a teljesség igénye nélkül lilia,kratya, kardj, Sang...
de szigoruan szerintem.
profitvédő a fontnál és az eur-nál aktivált,már csak aud chf fut
nekem ennyi mara, +ejszakai mukodesem (audjpy short)megvan a 100pip.
Nekem is reggeli eurusd letőrés megvolt15-85-ig
eurgbp 40-54 kitőrés
és gbp jpy short 145,962 stop itt 0-ban van nem bántom
Largely a repetition, but the [POUND] is a relative underperformer currently following Moody's assertion that the UK's AAA status is at threat if its deficit is not cut. Ongoing Dubai concerns are an intermittent weight also and it is little wonder most props are said to be looking for sell opportunities into 1.6500/20 currently. All things US and Bernanke have been the main theme so far this week and though there may be still some fallout from the perceived dovish comments yest, the UK diary is fairly packed today and is capable of impacting. The traditionally Gbp negative IP/manufacturing output reports come first and are expected to produce more positive results, both forecast at 0.4% m/m. Trading under a fairly offered tone, but next bear target at 1.6300/20 looks safe for now.
(IGM)Russian accounts have been [CABLE] sellers in early Europe. The headline has already lost well over...
Russian accounts have been [CABLE] sellers in early Europe. The headline has already lost well over half a cent to a new day's low of 1.6338 and unsurprisingly Dubai concerns are being cited for current underperformance. Eur/Gbp is higher too as the UK is perceived as having the greatest exposure to the Emirate, which is being viewed as struggling to restructure its debt. Short-term stops through 1.6330 and then in bigger size beneath 1.6300/20 bid zone.
kezzel huzam ra a stopot, igen.
mostmar a londoni brokik bemehetnenek a munkahelyukre shortolni.....