Friday, February 12, 2010

Trading Portfolio

Sukacita saya berkongsi dengan anda trading portfolio saya yang terkini...

FEBRUARY 2010 - CPO APRIL CONTRACT

Nota: (1) 1 mata = RM25
(2) Kadar keuntungan sebelum di tolak kos broker

3.2.2010 ---------------------- LONG 2490
5.2.2010 ---------------------- EXIT 2499
PROFIT ----------------------- RM 225

8.2.2010 ----------------------- LONG 2547
9.2.2010 ----------------------- EXIT 2565
PROFIT ----------------------- RM 450

9.2.2010 ----------------------- LONG 2553
TO DATE ---------------------- EXIT XXXX ->Semasa blog ini ditulis indeks sawit adalah 2580

No comments:

Post a Comment