Price forecast is based on the calculation of the pivot point for Monday, February 03. 2014
Pair = USDCAD
if buy at = 1.1072
Take Profit = 1.1269
Stop Loss = 1.1011
If sell at = 1.1222
Take...
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Price forecast is based on the calculation of the pivot point for Monday, February 03. 2014
Pair = USDCAD
if buy at = 1.1072
Take Profit = 1.1269
Stop Loss = 1.1011
If sell at = 1.1222
Take...
Price forecast is based on the calculation of the pivot point for Monday, February 03. 2014
Pair = GBPNZD
if buy at = 2.0175
Take Profit = 2.0596
Stop Loss = 2.0029
If sell at = 2.0433
Take...
Price forecast is based on the calculation of the pivot point for Monday, February 03. 2014
Pair = GBPAUD
if buy at = 1.8666
Take Profit = 1.9024
Stop Loss = 1.8555
If sell at = 1.8938
Take...
Price forecast is based on the calculation of the pivot point for Monday, February 03. 2014
Pair = EURUSD
if buy at = 1.3454
Take Profit = 1.3583
Stop Loss = 1.3419
If sell at = 1.3572
Take...
Price forecast is based on the calculation of the pivot point for Monday, February 03. 2014
Pair = EURJPY
if buy at = 136.98
Take Profit = 139.72
Stop Loss = 136.24
If sell at = 139.5
Take...
Price forecast is based on the calculation of the pivot point for Monday, February 03. 2014
Pair = EURCAD
if buy at = 1.4923
Take Profit = 1.5245
Stop Loss = 1.4830
If sell at = 1.5195
Take...
Price forecast is based on the calculation of the pivot point for Monday, February 03. 2014
Pair = EURAUD
if buy at = 1.5317
Take Profit = 1.5639
Stop Loss = 1.5224
If sell at = 1.5589
Take...
Price forecast is based on the calculation of the pivot point for Monday, February 03. 2014
Pair = AUDCHF
if buy at = 0.7859
Take Profit = 0.8052
Stop Loss = 0.7788
If sell at = 0. 7961
Take...
Price forecast is based on the calculation of the pivot point for Monday, February 03. 2014
Pair = EURCHF
if buy at = 1.2207
Take Profit = 1.2258
Stop Loss = 1.2191
If sell at = 1.2245
Take...
Price forecast is based on the calculation of the pivot point for Monday, February 03. 2014
Pair = EURNZD
if buy at = 1.6575
Take Profit = 1.6847
Stop Loss = 1.6482
If sell at = 1.6747
Take...
Price forecast is based on the calculation of the pivot point for Monday, February 03. 2014
Pair = GBPCAD
if buy at = 1.8199
Take Profit = 1.8538
Stop Loss = 1.8101
If sell at = 1.8485
Take...
Price forecast is based on the calculation of the pivot point for Monday, February 03. 2014
Pair = GBPUSD
if buy at = 1.6408
Take Profit = 1.6506
Stop Loss = 1.6381
If sell at = 1.6496
Take...
Price forecast is based on the calculation of the pivot point for Monday, February 03. 2014
Pair = GBPJPY
if buy at = 166.99
Take Profit = 169.98
Stop Loss = 166.18
If sell at = 169.73
Take...
Price forecast is based on the calculation of the pivot point for Monday, February 03. 2014
Pair = GBPCHF
if buy at = 1.4839
Take Profit = 1.4990
Stop Loss = 1.4786
If sell at = 1.4929
Take...
Price forecast is based on the calculation of the pivot point for Monday, February 03. 2014
Pair = AUDCAD
if buy at = 0.9683
Take Profit = 0.9883
Stop Loss = 0.9624
If sell at = 0.9847
Take...
Price forecast is based on the calculation of the pivot point for Monday, February 03. 2014
Pair = AUDNZD
if buy at = 1.0754
Take Profit = 1.0920
Stop Loss = 1.0690
If sell at = 1.0830
Take...
Price forecast is based on the calculation of the pivot point for Monday, February 03. 2014
Pair = AUDJPY
if buy at = 88.55
Take Profit = 91.20
Stop Loss = 87.77
If sell at = 90.73
Take Profit...
Price forecast is based on the calculation of the pivot point for Monday, February 03. 2014
Pair = AUDUSD
if buy at = 0.8689
Take Profit = 0.8881
Stop Loss = 0.8626
If sell at = 0.8821
Take...
Price forecast is based on the calculation of the pivot point for Monday, February 03. 2014
Pair = NZDJPY
if buy at = 81.92
Take Profit = 84.15
Stop Loss = 81.34
If sell at = 84.06
Take Profit...
Price forecast is based on the calculation of the pivot point for Monday, February 03. 2014
Pair = NZDUSD
if buy at = 0.8033
Take Profit = 0.8197
Stop Loss = 0.7988
If sell at = 0.8181
Take...
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