Position DIAAAAVNDDACUA9
| Date | 13.11.2025 18.36.00 +00:00 |
| Result | Loss |
| New balance | 25.300,89 |
| Profit | -480,00 |
| Order size | 24 |
| Position Duration | 00:10:00 |
| Entry level | 24.941,00 |
| Timestamp | Ask | Bid | Action | ||||||
|---|---|---|---|---|---|---|---|---|---|
| Open | High | Low | Close | Open | High | Low | Close | ||
| 13.11.2025 18.36.00 | 24.954,8 | 24.956,2 | 24.939,6 | 24.942,0 | 24.953,8 | 24.955,2 | 24.938,6 | 24.941,0 | Short position opened at price 24941. Stop Loss: 24965. Take Profit: 24892. Spread: -1
|
| 13.11.2025 18.37.00 | 24.943,8 | 24.948,1 | 24.936,0 | 24.936,3 | 24.942,8 | 24.947,1 | 24.935,0 | 24.935,3 | |
| 13.11.2025 18.38.00 | 24.926,7 | 24.930,8 | 24.917,0 | 24.930,5 | 24.925,7 | 24.929,8 | 24.916,0 | 24.929,5 | |
| 13.11.2025 18.39.00 | 24.932,0 | 24.939,3 | 24.924,0 | 24.928,3 | 24.931,0 | 24.938,3 | 24.923,0 | 24.927,3 | |
| 13.11.2025 18.40.00 | 24.920,0 | 24.931,2 | 24.916,9 | 24.928,9 | 24.919,0 | 24.930,2 | 24.915,9 | 24.927,9 | |
| 13.11.2025 18.41.00 | 24.926,8 | 24.937,1 | 24.914,7 | 24.931,2 | 24.925,8 | 24.936,1 | 24.913,7 | 24.930,2 | |
| 13.11.2025 18.42.00 | 24.922,9 | 24.938,6 | 24.921,5 | 24.936,4 | 24.921,9 | 24.937,6 | 24.920,5 | 24.935,4 | |
| 13.11.2025 18.43.00 | 24.939,2 | 24.945,4 | 24.916,9 | 24.918,6 | 24.938,2 | 24.944,4 | 24.915,9 | 24.917,6 | |
| 13.11.2025 18.44.00 | 24.924,0 | 24.947,1 | 24.923,6 | 24.945,1 | 24.923,0 | 24.946,1 | 24.922,6 | 24.944,1 | |
| 13.11.2025 18.45.00 | 24.947,8 | 24.961,4 | 24.940,5 | 24.961,4 | 24.946,8 | 24.960,4 | 24.939,5 | 24.960,4 | |
| 13.11.2025 18.46.00 | 24.968,4 | 24.980,1 | 24.961,1 | 24.971,2 | 24.967,4 | 24.979,1 | 24.960,1 | 24.970,2 | |