Position DIAAAAVQVF5YTAW
| Date | 21.11.2025 19.36.00 +00:00 |
| Result | Loss |
| New balance | 24.127,39 |
| Profit | -240,00 |
| Order size | 48 |
| Position Duration | 00:09:00 |
| Entry level | 24.473,30 |
| Timestamp | Ask | Bid | Action | ||||||
|---|---|---|---|---|---|---|---|---|---|
| Open | High | Low | Close | Open | High | Low | Close | ||
| 21.11.2025 19.36.00 | 24.455,7 | 24.474,5 | 24.453,5 | 24.473,3 | 24.454,7 | 24.473,5 | 24.452,5 | 24.472,3 | Long position opened at price 24473.3. Stop Loss: 24425.3. Take Profit: 24717.3. Spread: -1
|
| 21.11.2025 19.37.00 | 24.477,5 | 24.495,5 | 24.477,4 | 24.488,8 | 24.476,5 | 24.494,5 | 24.476,4 | 24.487,8 | |
| 21.11.2025 19.38.00 | 24.481,5 | 24.491,0 | 24.476,8 | 24.489,7 | 24.480,5 | 24.490,0 | 24.475,8 | 24.488,7 | |
| 21.11.2025 19.39.00 | 24.487,0 | 24.494,1 | 24.482,3 | 24.487,0 | 24.486,0 | 24.493,1 | 24.481,3 | 24.486,0 | |
| 21.11.2025 19.40.00 | 24.496,1 | 24.498,1 | 24.487,1 | 24.492,7 | 24.495,1 | 24.497,1 | 24.486,1 | 24.491,7 | |
| 21.11.2025 19.41.00 | 24.504,9 | 24.508,0 | 24.479,1 | 24.481,5 | 24.503,9 | 24.507,0 | 24.478,1 | 24.480,5 | |
| 21.11.2025 19.42.00 | 24.483,0 | 24.487,8 | 24.460,2 | 24.478,5 | 24.482,0 | 24.486,8 | 24.459,2 | 24.477,5 | |
| 21.11.2025 19.43.00 | 24.478,2 | 24.478,2 | 24.453,9 | 24.461,9 | 24.477,2 | 24.477,2 | 24.452,9 | 24.460,9 | |
| 21.11.2025 19.44.00 | 24.464,5 | 24.464,5 | 24.434,9 | 24.443,1 | 24.463,5 | 24.463,5 | 24.433,9 | 24.442,1 | |
| 21.11.2025 19.45.00 | 24.426,4 | 24.437,9 | 24.421,8 | 24.433,6 | 24.425,4 | 24.436,9 | 24.420,8 | 24.432,6 | |