Both previous orders were triggered overnight, generating 2 trades:
Sold YMU10 @10,223, covered @10,202. P&L: 21 points.
Bought YMU10 @10,152, sold @10,188. P&L: 36 points.
New orders:
Sell YMU10 @10,464 with 10,481 stop and 10,432 take-profit.
(Daily R2 pivot point is 10,468)
Buy YMU10 @10,261 with 10,244 stop and 10,288 take-profit.
(Daily PP pivot point is 10,265)
[ Please read this
post and especially this
post. ]
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