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- tmoney5474 replied Jun 3, 2009
OK, leverage is high. So..... That means the strategy is bad? Again, if your ENTIRE account is put on on this type of strat then you would never trade it this high. Keep in mind in my first post. I say that my projected returns are 5-15% a month. I ...
FX Options Calls
- tmoney5474 replied Jun 2, 2009
Net Credit = .13 Your credit is One hundred and thirty pips. I meant .0013 OR 13 pips Break Even = 1.1013 Break even should be 1.1130. You're not even close. 1.1013 is correct (13 pips) Full Profit = .13 anything UNDER 1.10 at Expiry (June 10th) ...
FX Options Calls
- tmoney5474 replied Jun 2, 2009
Trade Booked — USDCAD Long CALL 1.1275 Expiry Date June 10th - Open Price .15 USDCAD Short CALL 1.10 Expiry Date June 10th - Open Price .28 Net Credit = .13 Break Even = 1.1013 Full Profit = .13 anything UNDER 1.10 at Expiry (June 10th) I am ...
FX Options Calls
- tmoney5474 replied Jun 1, 2009
......... — Fish: Congrats on the covered calls. I trade coverd calls also for my longer team plays as an income strategy and a $ cost averaging strat if I love a position and think it might come back in a little over the next x amount of ...
FX Options Calls
- tmoney5474 replied May 31, 2009
Trade Booked — AUDJPY Long Put 70.15 Expiry Date June 10th - Open Price .18 AUDJPY Short Put 73.50 Expiry Date June 10th - Open Price .23 Net Credit = .05 Break Even = 73.45 Full Profit = .05 anything over 73.50 at Expiry (June 10th) I am ...
FX Options Calls
- tmoney5474 replied May 31, 2009
Trade Booked — EURUSD Long Put 1.3455 Expiry Date June 10th - Open Price .10 EURUSD Short Put 1.3775 Expiry Date June 10th - Open Price .18 Net Credit = .08 Break Even = 1.3767 Full Profit = .08 anything over 1.3775 at Expiry (June 10th) I am ...
FX Options Calls
- tmoney5474 replied May 31, 2009
EURUSD — We will get a bull put call on the EUR but I will not book it right away because we should get another 40-50 pip pull back in the next few hours. This will help me collect more premium when the trade is booked. (fyi -this is still ...
FX Options Calls
- tmoney5474 replied May 31, 2009
Trade Booked — USDJPY Long Put 91.50 Expiry Date June 10th - Open Price .16 USDJPY Short Put 93.50 Expiry Date June 10th - Open Price .26 Net Credit = .10 Break Even = 93.40 Full Profit = .10 anything over 93.50 at Expiry (June 10th) I am ...
FX Options Calls
- tmoney5474 replied May 31, 2009
Signals Coming — Looks like we will be getting 2 signals at the open. A counter trend play with the USDJPY (bull put) and a continuation trade on the EURUSD (bull put). The S+R level where I will be placing the spread on the usdjpy will be ...
FX Options Calls
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FX Options Calls
Started May 31, 2009|Interactive Trading|15 repliesHello, my name is Ty. I have been a trader (both part time and full time) for about 8 years. I ...