Trailed the stop loss to potentially lock in profit while maintaining the position.
Went long the Australian Dollar futures contract this week. Trailed the stop loss higher once to reduce the risk.
Still long the British Pound futures contract.
Entered into a new long British Pound futures contract.
Stopped out of the Currency positions, initiated a position in the Ten-Year Notes, and trailed the stop loss lower to reduce the risk on the Chicago Wheat position.
Trailed the stop loss lower on the short Euro FX position. Holding steady on the Canadian Dollar and Chicago Wheat positions.
Target triggered on the OJ contract, but stopped out of the British Pound contract. Entered a new short position in the Canadian Dollar. Working an order to sell the Euro currency contract.
Shorted the Orange Juice and Britsh Pound futures contracts this week.
Stopped out both the British Pound and Bonds positions on a Sunday overnight market rally.
Stopped out of the Sugar position. went short the British Pound, and went long the 30-Year Treasury Bonds.