Monday, September 30, 2013

September 30, 2013 (S&P500 Emini Index CFD)

(Please click the chart to enlarge.)
Good day for a Monday the start of a new week. My automatic trading system did three trades. Two LONGs and one SHORT. First LONG was a Take-Profit one with $172 profit. But the second LONG was Stop-Loss one with $80 loss. And the SHORT the last trade made a tiny $16 profit. So I ended up with $108 profit for the day. Not bad!

Friday, September 27, 2013

September 27, 2013 (S&P500 Emini Index CFD)

(Please click the chart to enlarge.)
Market's been a flat-line the whole week. Everybody seems to be waiting for US Government shutdown on Monday. A sort of brinkmanship between Obama and the Republican-controlled Congress. No one is buying big and no one is selling big too, god damn stupid Americans.

Anyway my stupid system made only one trade and it was a SHORT. Market didn't go nowhere and I lost a measly 1.5 dollar.

Thursday, September 26, 2013

September 26, 2013 (S&P500 Emini Index CFD)

(Please click the chart to enlarge.)
Today I was almost break-even. My system did two trades, both LONGs. First LONG was stopped out with A$80 loss. But second LONG made A$56 profit. So I lost net 24 dollars.

Wednesday, September 25, 2013

September 25, 2013 (S&P500 Emini Index CFD)

(Please click the chart to enlarge.)
Today was another losing day again. My system made three trades. First one was a losing SHORT which was cut with $94 loss and second one was a losing LONG which was cut with another $94 loss but last one was a winning SHORT which was eventually cut with $56 win . So altogether I lost A$132 today.

Tuesday, September 24, 2013

September 24, 2013 (S&P500 Emini Index CFD)

(Please click the chart to enlarge.)
Today was another losing day again. My system made three trades. First one was Long which was cut with $80 loss and second one was Short which was cut with another $100 loss and last one was a Long which was eventually cut with $88 loss. Altogether I lost A$268 today.

But for the whole month of September I am still ahead with $570 total profit on the original outlay of one thousand dollars.
(Please click the chart to enlarge.)

Monday, September 23, 2013

September 23, 2013 (S&P500 Emini Index CFD)

(Please click the chart to enlarge)
Today was not a very good day. My system made two trades, one Long and one Short and the Long  was a stop-loss one with A$ 90 loss. The later Short was just break-even. So I lost 90 dollars for the day.

Oh BTW my automated system starts trading at 9:30 in the morning and closes the last position at 4:00 in the afternoon. All New York Time and the opening and the close of NYSE. But MT-4 uses GMT and the chart shows only the corresponding GMTs.

Sunday, September 22, 2013

My System and My Trades

Hi everyone,

I've been trading S&P eMini through my Australian Broker since 2008. I trade through Meta Trader IV (MT-4) system using MQL-4 (Meta Quote Language IV) based programs. I've developed and coded my own simple automated-trading-system and its is giving me wonderful results days after days.

In this blog I'll try to post my daily trading charts every day after 1600 New York Time as the S&P 500 indexed-stocks on NYSE (New York Stock Exchange) is actively traded between 0930 and 1600 week days. I'll also try to explain about my simple MQL-4 program along the way.

September 20, 2013 (S&P500 Emini Index CFD)

(Please click the chart to enlarge.)
This is a good day for my system. Two Shorts and first one makes $146 and second one makes $116 all together $262 profit.