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Weekly Performance Summary WK #11 03-27 to 04-02-2016

The USD had a solid week of two-way action on the way to net-losses; major news events this week included Yellen blabbing on Tuesday—and another “It’s OK—REALLY” Non-Farm Payrolls report on Friday. Both events are beginning to get through to market players that the US FED is not going to be “normalizing” rates anytime soon…

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Weekly Performance Summary WK #10 03-20 to 03-26-2016

Holiday shortened week provided fewer opportunities, holding no positions into the weekend—basically a scratch week. No trades entered ever went more than 60-80 pips my way so no real potential to take solid gains; at the close of the week NET results was a 40 pip loss after all trades closed. Still holding gains of…

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Weekly Performance Summary WK #09 03-13 to 03-19-2016

This week was a HUGE week of volatility due to the non-responsive US FED; I had the biggest weekly gain of the program so far to-date. In my view—more of that is coming in the next few weeks. Gains are +56% for the quarter not including OTE I am holding into next week. The Pro-Trader’s…

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Weekly Performance Summary WK #08 03-06 to 03-12-2016

This week was a HUGE week of volatility and just wild price action; I would like to say I was on the right side of it but this week was a small loss. The Pro-Trader’s Toolbox probabilities were thrown a curve due to EURO volatility for the most part but by the end of the…

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Weekly Performance Summary WK #07 02-28 to 03-05-2016

This week was a solid week of gains—and a new high in equity/performance was reached by the close of business on Friday of this week. Losses from last week were recovered and potential for additional gains next week is becoming greater as the Pro-Trader’s Toolbox probabilities become more predictable. Closed trade gains of just over…

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Weekly Performance Summary WK #06 02-21 to 02-27-2016

This week was a drawdown—although the losses were larger than typical—they were the result of the worst possible timing on two trade errors along with total luck-of-the-draw on one stop on one trade. Closed trade gains of just over 12% on equity for the first six weeks of the program; so the drawdown is not…

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Weekly Performance Summary WK #05 02-14 to 02-20-2016

This week was another week of solid gains—slightly more than 6% gain on equity for the week. As of right now I am flat going into the weekend; closed trade gains of just over 31% on equity for the first five weeks of the program. Here are the brokerage statements for each traded account for…

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Weekly Performance Summary WK #04 02-07 to 02-13-2016

This week was another week of solid gains—slightly more than 15% gain on equity for the week. As of right now I am flat going into the 3-day US Federal Holiday weekend with closed trade gains of just over 25% on equity for the first four weeks of the program. Based on suggestions from the…

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Weekly Performance Summary Wk #03 01-31 to 02-06-2016

Great week of gains–good potential as the larger time frames appear to be driving trade. Although I had two trade errors this week I was able to close trades for roughly a 6.0% gain on the week and a gain of +9.6% on total equity since the start of the program. I am flat into…

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Weekly Performance Summary WK #02 01-24 to 01-30-2016

Welcome to this week’s BLOG post! Every Saturday I publish my actual LIVE trading performance for the past week. The purpose of this disclosure is to demonstrate in REAL TIME the value of using my proprietary trading method and for attending my daily FOREX market broadcasts. CLICK HERE for complete details on attending “The Morning…

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