After chart analysis i sold 2 contracts for the EUR/JPY pair at 11.35 am.
Your Order has been executed
Your order was executed on: Wed Aug 14 11:35:08 EDT 2013. The details of your matched trade are shown below for your reference:
Trade Details:
Contract: EUR/JPY >130.14 (12PM)
Expiration: Wed Aug 14 12:00:00 EDT 2013
Direction: SELL
Quantity: 2
Price: 23.00
Your positions and balances have been updated. The transaction number assigned to this trade is:2013081411340HZL02371096O.
If you have any questions, please contact Customer Service at 1-877-77-NADEX
At 12pm the position closed as true .
Your Position has settled
Your position in the EUR/JPY >130.14 (12PM) contract was settled on Wed Aug 14 12:00:22 EDT 2013. The details of your settled position are shown below for your reference:
Settlement Details:
Contract: EUR/JPY >130.14 (12PM)
Quantity: -2
Expiration Value: 130.112
Payout Amount: $200
Next was a 7 pm trade .
Your Order has been executed
Your order was executed on: Wed Aug 14 18:40:27 EDT 2013. The details of your matched trade are shown below for your reference:
Trade Details:
Contract: GBP/JPY >152.00 (7PM)
Expiration: Wed Aug 14 19:00:00 EDT 2013
Direction: SELL
Quantity: 1
Price: 42.00
At 7 we have a win
Your Position has settled
Your position in the GBP/JPY >152.00 (7PM) contract was settled on Wed Aug 14 19:00:24 EDT 2013. The details of your settled position are shown below for your reference:
Settlement Details:
Contract: GBP/JPY >152.00 (7PM)
Quantity: -1
Expiration Value: 151.947
Payout Amount: $100
Your positions and account balance have been updated accordingly.
If you have any questions, please contact Customer Service at 1-877-77-NADEX.
Beginning balance $623 ending balance $792
No comments:
Post a Comment
Note: Only a member of this blog may post a comment.