Saturday, March 19, 2011

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Saturday, 19/03/2011 10:14

E7M1
FIBF1 14137 20795 127425
ESM1
Portfolio: Euro
SHORT -14 12,863 -9.01% 12,210 -15.78% E7M1
-1 -1
-8519.31 -8669.63
E7M1 12,176 -16.11% 12,446 -13.59% -2 E7M1 -14951.90 E7M1
-2 -2 12 560 -12.56%
-13943.91 -13165.81 E7M1 12,648 -11.77% 12,712 -11.21%
-2 E7M1 E7M1 13,705 -2
-12599.92 -3819.76 -3.15% -2.59% 13,780
-2 E7M1 -3156.61

SHORT SP500 -10.14% 114 500 -2 -2
ESM1 114,500 -11.29% -9142.68

Values \u200b\u200bin EURO:
Margins Required Overnight
22494 965136
current position of the instrument handle 43
Net Open Position Net Realized
-87969.51 18784.22 Partial Profit
-69185.30
N.trades concluded
27% 70% Wintrades
Trade Middle
695.71 209 Days Start Calculation
Profit / Day -331.03
------------------ -------------------------------------------------- -
Here are the results table after completing the roll of futures.
It was not long before the presentation, but they tell you, is not a pretty sight.
should probably be taken with corrective options on the euro, in order to have insurance in case of a climb.
All right, next to the closure of six months, then in about three months, will buy call options on the euro.

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