Position DIAAAAV93ZU5UAT
| Date | 13.01.2026 17.32.00 +00:00 |
| Result | Loss |
| New balance | 19.582,89 |
| Profit | -230,00 |
| Order size | 51 |
| Position Duration | 00:12:00 |
| Entry level | 25.801,36 |
| Timestamp | Ask | Bid | Action | ||||||
|---|---|---|---|---|---|---|---|---|---|
| Open | High | Low | Close | Open | High | Low | Close | ||
| 13.01.2026 17.32.00 | 25.792,0 | 25.801,4 | 25.785,9 | 25.801,4 | 25.791,0 | 25.800,4 | 25.784,9 | 25.800,4 | Long position opened at price 25,801.4. Stop Loss: 25,750.4. Take Profit: 26,059.4. Broker Entry level: 25,802.9. Spread: -1
|
| 13.01.2026 17.33.00 | 25.801,7 | 25.804,2 | 25.796,9 | 25.798,6 | 25.800,7 | 25.803,2 | 25.795,9 | 25.797,6 | |
| 13.01.2026 17.34.00 | 25.799,6 | 25.805,2 | 25.799,1 | 25.805,2 | 25.798,6 | 25.804,2 | 25.798,1 | 25.804,2 | |
| 13.01.2026 17.35.00 | 25.805,1 | 25.807,0 | 25.795,9 | 25.796,8 | 25.804,1 | 25.806,0 | 25.794,9 | 25.795,8 | |
| 13.01.2026 17.36.00 | 25.796,4 | 25.801,8 | 25.796,4 | 25.797,2 | 25.795,4 | 25.800,8 | 25.795,4 | 25.796,2 | |
| 13.01.2026 17.37.00 | 25.797,4 | 25.797,8 | 25.790,3 | 25.791,8 | 25.796,4 | 25.796,8 | 25.789,3 | 25.790,8 | |
| 13.01.2026 17.38.00 | 25.791,7 | 25.793,5 | 25.787,8 | 25.789,4 | 25.790,7 | 25.792,5 | 25.786,8 | 25.788,4 | |
| 13.01.2026 17.39.00 | 25.790,0 | 25.794,3 | 25.786,0 | 25.786,3 | 25.789,0 | 25.793,3 | 25.785,0 | 25.785,3 | |
| 13.01.2026 17.40.00 | 25.786,3 | 25.787,3 | 25.783,9 | 25.784,6 | 25.785,3 | 25.786,3 | 25.782,9 | 25.783,6 | |
| 13.01.2026 17.41.00 | 25.784,4 | 25.787,7 | 25.780,4 | 25.787,7 | 25.783,4 | 25.786,7 | 25.779,4 | 25.786,7 | |
| 13.01.2026 17.42.00 | 25.788,0 | 25.788,0 | 25.782,6 | 25.784,5 | 25.787,0 | 25.787,0 | 25.781,6 | 25.783,5 | |
| 13.01.2026 17.43.00 | 25.784,5 | 25.785,3 | 25.771,8 | 25.771,9 | 25.783,5 | 25.784,3 | 25.770,8 | 25.770,9 | |
| 13.01.2026 17.44.00 | 25.771,5 | 25.772,0 | 25.761,1 | 25.762,8 | 25.770,5 | 25.771,0 | 25.760,1 | 25.761,8 | Position closed by broker: Close level: 25,756.90
|