Belajar Forex face to Face in person..only for serius newbie..RM 100 once a life

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Trade news only..basic trading style

NZDUSD is a slow moving pair..although there was a good selling oppurtinity this early morning, only managed 35 pips, saya closed before news ttg GBP ptg td..

bad retail sales has brought the pair dropped lower..probably early morning esok, RBNZ akan maintain cash rate at 3%..

 
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Risk appetite yg di intermarket analysis indicator (tidak saya tunjukkan di sini) meyebabkan USD dan JPY weak di currency strength meter...proceed buy Eur/Jpy

general correlation, when EU drop 50 pips, UJ drop 50 pips, EJ drop 100pips...vice versa..

 
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Yesterday news trade GBP: Retail Sales negative...But the price reached low 1.5536..before rised to 1.5715 today...

close at 15 dollar before proceed buy at 1.5590 today (no ss sbb tak sempat save workspace..balik rumah dah kena take profit) :)

closed 115 dollar in total for 2 days..sket2 jer yg pnting konsistent :)

 
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slm bro nazri...saya berminat nak belajar...Saya di area PJ...Xkisah pun dengan income sbb saya nk knowledge as forex trader..Nak apply ilmu ekonomi yang pernah saya belajar dengan real situation dlm currency exchange.. Weekend boleh? Kalau xdapat, saya boleh ke area bro ( klu skitar lembah klang,shah alam le) :)
 
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slm bro nazri...saya berminat nak belajar...Saya di area PJ...Xkisah pun dengan income sbb saya nk knowledge as forex trader..Nak apply ilmu ekonomi yang pernah saya belajar dengan real situation dlm currency exchange.. Weekend boleh? Kalau xdapat, saya boleh ke area bro ( klu skitar lembah klang,shah alam le) :)
weekend nie ok..hari sabtu and must continue dgn 1 more session di waktu market open utk tgk real price data..call/sms saya di 0123576124
 
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Yesterday post...now dah close

currency GBP heavy sold off due to weak economic data amid serius concern over heavy cut off budget etc etc--> we must have understanding abt the market sentiment...

basic trading style, breakout wedge pattern..GBP weak di currency strength meter ..:)

 
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haii guests..lama tak update di sini...busy dgn bizness lain..so, this week hanya today dpt trade..

Quote Henry Liu of forexpeacearmy.com...

With the general market still in shock from the FOMC Statement on Tuesday, which opened the door for future large scale asset purchases by the Feds, we'll probably see continous selling pressure on the USD

and

S. Housing sector should still remain under pressure because of high unemployment rate, low consumer consumption, tight credit conditions, and supply outpacing demands, not mentioning the expiration of New Home Buyer's Credit

saya proceed buy EU bila last candle dah break zone resistence 2 ..USD weak

 

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trade based on risk sentiment...usd melemah due to speculation on fed reserve akan implement QE2 due to growth us ekonomi yg jd stagnant..Buy EU pd 24.9.2010 and hold...

saya close td utk preparation for GBP interest rate announcement esok dan NFP

resultnya...

 
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prepare for inflation report dan fomc meeting this week...utk trade based on risk sentiment :)
 
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