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aku nak tanye laa .. kalau depo gune e-gold .. withdraw mesti egold jugak keee .. atau boleh withdraw lr .. pastu kalau depo LR pulak same gak ker .. dan kalau pernah campor2 deposit( eg,lr&eb) .. bile withdraw nanti camne ehh :-?
 
how long i have to wait for the account verification ? Any idea ?
 
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aku nak tanye laa .. kalau depo gune e-gold .. withdraw mesti egold jugak keee .. atau boleh withdraw lr .. pastu kalau depo LR pulak same gak ker .. dan kalau pernah campor2 deposit( eg,lr&eb) .. bile withdraw nanti camne ehh :-?


kalu deposited guna egold withdraw pun kena ke egold
kalu deposited campur2x - LR+egold+wire transfer - boleh withdraw ke egold jugak
walaupun dah withdraw all sekalipun tapi ada history egold deposited, tetap hanya boleh withdraw ke egold. even selepas tu guna LR sebagai deposited.
so nak tak nak kena buka akaun baru, yang still fresh tiada history/sejarah deposited egold.

lagi satu deposited egold or ada history deposited egold, anda tak boleh guna internal transfer.

how long i have to wait for the account verification ? Any idea ?

at the moment, finance department need time to verify each account since, all client need to upload their documentation again. (old n new client). so u documentation will take time n finance department will do the best to verify all account on time. -
 
when i say 1 lot, it doesn't mean in a single trade.
You can have mutilpe trades where a total lot per day is 1 lot.

There are many way for you to strategise your trade.
e.g. Once your 'signal'(based on your analysis & indicator) has triggered,
a. Trade EU with 0.2 lot
b. Trade UCHF with 0.1 lot
c. Trade GU with 0.3 lot
d. trade UJ with 0.4 lot

All with dicipline TP 10pips, and SL 30-50..
Well, sometime, if you got lucky, you can get more than 10pips.

Another strategy which I've seen a lot of my friends only trade nothing else EXCEPT GU.
Based on Asian High and Low (AHAL(techniques) is to open PO buy or stop with 1 lot, with TP 10pips only, and SL 50.
and 90% it works. Whatever it is, dicipline is important.
In this strategy, you hit TP 10pips, stop trade. Continue the next day.

In bad day, you will hit SL -50, stop trade. Continue the next day. Dicipline, Consistency & MM is the way to success.

Anyway, this is my 2 cent opinion. How about u?

Thanks for a good info. How about me? My monthly target is 10-14% of equity gain and Im trying to obey my 2% risk per trade rule. Im looking for trades with 1:1,5 - 1:3 risk-reward ratio and Im minimizing the risk by moving the stop-loss consistently. Im also closing a part of a winning position when there is a higher probability of reversal (like nearby support/resistance level, upcoming news report, sudden move on a correlated pair etc.). In a case of a losing streak Im taking a break after reaching of 30% equity loss :)
It's more about how I behave than about some specific ultra-efficient trading method. It's all about how I treat myself and how I control my environment when Im losing :)
 
G/U droped to daily charting trend line now, will be drop down continue?

gurx5.jpg
 
i cant PM u coz i just only have 4-5 post ? any idea ?
 
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