Trading Stream Logo
JournalTrade SetupsFX CourseFX CalculatorsPerformanceLogin/Join
Login/Join
JournalTrade SetupsFX CourseFX CalculatorsPerformance
Login/Join

Learn Forex Trading

Forex Trading CourseBeginner GuideTrading GlossaryTechnical AnalysisRisk ManagementTrade Setups Guide

Forex Calculators

Forex CalculatorsPosition SizePip ValueProfit/LossLeverage & MarginRisk-RewardSwap/Rollover

Currency Pairs

EURUSD Trades & AnalysisGBPUSD Trades & AnalysisUSDJPY Trades & AnalysisUSOIL Trades & AnalysisXAUUSD Trades & AnalysisExplore All Trade Setups →

Resources

Performance ArchiveMarket OutlookHow It WorksFree Forex Course
XFacebookTradingView•Disclaimer

The content on Trading Stream (tradingstream.live) is for informational and educational purposes only and represents a personal trading journal. It is not financial or investment advice. The information, price quotes, and trading tools included on this website are not guaranteed to be accurate or correct. Trading foreign exchange on margin carries a high level of risk and may not be suitable for all investors. You could sustain a loss of some or all of your initial investment. Always conduct your own research and consult a licensed financial advisor before making any investment decisions.

© 2025 Trading Stream. All Rights Reserved.

Forex Trade Setups Library

Browse every trade we publish, filter by currency pair, and follow the professional analysis and performance in one place.

Trade Setup
SellEURUSD@ 1.15391
Active

Trade Parameters

Entry
1.15391
Stop Loss
1.15600
Take Profit
1.14740
Risk
20.9 pips
Reward (TP)
65.1 pips
Risk-Reward
1 : 3.1
Exp. Duration
Short term

Trade Timeline

No updates have been posted for this trade yet.

Live prices off
euro
usd
Trade Setup
SellEURGBP@ 0.88150
SL Reached

Trade Summary

Entry Price0.88150
Closing Price0.88352
Risk (1.5%)$340.36
Result-$343.76
Account Impact-1.52%
Balance Before$22,690.72
Balance After$22,346.95
Trade Duration1 day

Original Trade and Updates

Trade Parameters

Entry
0.88150
Stop Loss
0.88350
Take Profit
0.87710
Risk
20 pips
Reward (TP)
44 pips
Risk-Reward
1 : 2.2
Exp. Duration
Short term

Trade Timeline

  • Trade was stopped out.
  • Trade was activated.
eur
gbp
Trade Setup
SellNZDCHF@ 0.45857
TP Reached

Trade Summary

Entry Price0.45857
Closing Price0.45320
Risk (1.5%)$322.21
Result$1,209.98
Account Impact5.63%
Balance Before$21,480.73
Balance After$22,690.72
Trade Duration2 days

Original Trade and Updates

Trade Parameters

Entry
0.45857
Stop Loss
0.46000
Take Profit
0.45320
Risk
14.3 pips
Reward (TP)
53.7 pips
Risk-Reward
1 : 3.8
Exp. Duration
Swing trade

Trade Timeline

  • Trade hit take profit and is now closed.
nzd
chf
Trade Setup
Sell LimitGBPUSD@ 1.30970
Cancelled

Trade Parameters

Entry
1.30970
Stop Loss
1.31910
Take Profit 1
1.28750
Take Profit 2
1.27250
Risk
94 pips
Reward (TP1)
222 pips
Reward (TP2)
372 pips
Risk-Reward
1 : 3.2
Exp. Duration
Swing trade

Trade Timeline

  • Pending trade was cancelled.
gbp
gbpusd
Trade Setup
BuyJPN225@ 48500.00
TP Reached

Trade Summary

Entry Price48500.00
Closing Price49513.00
Risk (1.5%)$306.68
Result$1,035.55
Account Impact5.28%
Balance Before$19,600.41
Balance After$20,635.96
Trade Duration2 days

Original Trade and Updates

Trade Parameters

Entry
48500.00
Stop Loss
48200.00
Take Profit
49500.00
Risk
300 points
Reward (TP)
1000 points
Risk-Reward
1 : 3.3
Exp. Duration
Swing trade

Trade Timeline

  • Trade hit take profit and is now closed.
nikkei
Trade Setup
BuyXAUUSD@ 4014.090
SL Reached

Trade Summary

Entry Price4014.090
Closing Price4014.09
Risk (1.5%)$306.68
Result-$0.01
Account Impact0.00%
Balance Before$20,635.96
Balance After$20,635.96
Trade Duration5 days

Original Trade and Updates

Trade Parameters

Entry
4014.090
Stop Loss
3975.004014.09(B/E)
Take Profit
4159.00
Risk
390.9 points
Reward (TP)
1449.1 points
Risk-Reward
1 : 3.7
Exp. Duration
Short term

Trade Timeline

  • Trade was stopped out.
  • Stop loss was moved to break-even at 4014.09.
gold
xauusd
Trade Setup
SellUSOIL@ 58.011
SL Reached

Trade Summary

Entry Price58.011
Closing Price58.501
Risk (1.5%)$311.35
Result-$311.67
Account Impact-1.57%
Balance Before$19,912.09
Balance After$19,600.41
Trade Duration4 hours

Original Trade and Updates

Trade Parameters

Entry
58.011
Stop Loss
58.500
Take Profit
56.750
Risk
48.9 points
Reward (TP)
126.1 points
Risk-Reward
1 : 2.6
Exp. Duration
Short term

Trade Timeline

  • Trade was stopped out.
Trade Setup
SellUSDCHF@ 0.79319
SL Reached

Trade Summary

Entry Price0.79319
Closing Price0.79552
Risk (1.5%)$316.14
Result-$318.87
Account Impact-1.58%
Balance Before$20,230.96
Balance After$19,912.09
Trade Duration1 day

Original Trade and Updates

Trade Parameters

Entry
0.79319
Stop Loss
0.79550
Take Profit 1
0.78740
Take Profit 2
0.78330
Risk
23.1 pips
Reward (TP1)
57.9 pips
Reward (TP2)
98.9 pips
Risk-Reward
1 : 3.4
Exp. Duration
Swing trade

Trade Timeline

  • Trade was stopped out.
usd
chf
Trade Setup
BuyAUDNZD@ 1.13120
TP Reached

Trade Summary

Entry Price1.13120
Closing Price1.14150
Risk (1.5%)$303.46
Result$844.78
Account Impact4.09%
Balance Before$20,635.96
Balance After$21,480.73
Trade Duration12 days

Original Trade and Updates

Trade Parameters

Entry
1.13120
Stop Loss
1.12750
Take Profit
1.139101.14150
Risk
37 pips
Reward (TP)
79 pips103 pips
Risk-Reward
1 : 2.1
Exp. Duration
Short term

Trade Timeline

  • Trade hit take profit and is now closed.
  • Take Profit was changed from 1.1391 to 1.1415.
  • Trade was activated.
aud
nzd
Trade Setup
SellAUDCHF@ 0.52139
TP Reached

Trade Summary

Entry Price0.52139
Closing Price0.51699
Risk (1.5%)$287.77
Result$1,046.43
Account Impact5.45%
Balance Before$19,184.53
Balance After$20,230.96
Trade Duration4 hours

Original Trade and Updates

Trade Parameters

Entry
0.52139
Stop Loss
0.52260
Take Profit
0.51700
Risk
12.1 pips
Reward (TP)
43.9 pips
Risk-Reward
1 : 3.6
Exp. Duration
Short term

Trade Timeline

  • Trade hit take profit and is now closed.
aud
chf
Trade Setup
Buy LimitUSDJPY@ 150.960
Cancelled

Trade Parameters

Entry
150.960
Stop Loss
150.390
Take Profit
152.120
Risk
57 pips
Reward (TP)
116 pips
Risk-Reward
1 : 2.0
Exp. Duration
Short term

Trade Timeline

No updates have been posted for this trade yet.

usd
jpy
Trade Setup
SellAUDCAD@ 0.91810
SL Reached

Trade Summary

Entry Price0.91810
Closing Price0.92051
Risk (1.5%)$292.17
Result-$293.39
Account Impact-1.57%
Balance Before$18,642.38
Balance After$18,349.00
Trade Duration1 day

Original Trade and Updates

Trade Parameters

Entry
0.91810
Stop Loss
0.92050
Take Profit
0.91300
Risk
24 pips
Reward (TP)
51 pips
Risk-Reward
1 : 2.1
Exp. Duration
Short term

Trade Timeline

No updates have been posted for this trade yet.

aud
cad
Trade Setup
BuyUSOIL@ 61.500
SL Reached

Trade Summary

Entry Price61.500
Closing Price60.499
Risk (1.5%)$296.62
Result-$296.77
Account Impact-1.52%
Balance Before$19,481.30
Balance After$19,184.53
Trade Duration4 days

Original Trade and Updates

Trade Parameters

Entry
61.500
Stop Loss
60.500
Take Profit 1
63.850
Take Profit 2
65.000
Risk
100 points
Reward (TP1)
235 points
Reward (TP2)
350 points
Risk-Reward
1 : 2.9
Exp. Duration
Swing trade

Trade Timeline

No updates have been posted for this trade yet.

oil
Trade Setup
SellEURGBP@ 0.87181
TP Reached

Trade Summary

Entry Price0.87181
Closing Price0.86650
Risk (1.5%)$281.57
Result$1,003.44
Account Impact5.69%
Balance Before$17,638.94
Balance After$18,642.38
Trade Duration2 days

Original Trade and Updates

Trade Parameters

Entry
0.87181
Stop Loss
0.87330
Take Profit
0.865500.86650
Risk
14.9 pips
Reward (TP)
63.1 pips53.1 pips
Risk-Reward
1 : 4.2
Exp. Duration
Short term

Trade Timeline

  • Trade hit take profit and is now closed.
  • Take Profit was changed from 0.8655 to 0.8665.
eur
gbp
Trade Setup
BuyXAUUSD@ 3857.000
TP Reached

Trade Summary

Entry Price3857.000
Closing Price3878.05
Risk (1.5%)$272.03
Result$636.24
Account Impact3.74%
Balance Before$17,002.70
Balance After$17,638.94
Trade Duration15 hours

Original Trade and Updates

Trade Parameters

Entry
3857.000
Stop Loss
3848.00
Take Profit
3878.00
Risk
90 points
Reward (TP)
210 points
Risk-Reward
1 : 2.3
Exp. Duration
Intraday

Trade Timeline

  • Trade hit take profit and is now closed.
gold
Trade Setup
BuyAUDNZD@ 1.13602
SL Reached

Trade Summary

Entry Price1.13602
Closing Price1.13439
Risk (1.5%)$276.19
Result-$277.90
Account Impact-1.61%
Balance Before$17,280.60
Balance After$17,002.70
Trade Duration11 hours

Original Trade and Updates

Trade Parameters

Entry
1.13602
Stop Loss
1.13440
Take Profit
1.13940
Risk
16.2 pips
Reward (TP)
33.8 pips
Risk-Reward
1 : 2.1
Exp. Duration
Short term

Trade Timeline

No updates have been posted for this trade yet.

aud
nzd
Trade Setup
SellEURAUD@ 1.77921
TP Reached

Trade Summary

Entry Price1.77921
Closing Price1.76047
Risk (1.5%)$259.21
Result$1,132.30
Account Impact6.17%
Balance Before$18,349.00
Balance After$19,481.30
Trade Duration9 days

Original Trade and Updates

Trade Parameters

Entry
1.77921
Stop Loss
1.78350
Take Profit
1.76050
Risk
42.9 pips
Reward (TP)
187.1 pips
Risk-Reward
1 : 4.4
Exp. Duration
Short term

Trade Timeline

  • Trade hit take profit and is now closed.
aud
eur
rba
On the Radar

What to Watch in the Upcoming RBA Policy Decision

Here are specific remarks or data shifts that could mark a significant deviation — and how markets might react:

Topic

What changed remark / data to look for

Likely market impact

Inflation assessment

If the statement upgrades inflation risks (e.g. “inflation has proven more persistent than anticipated,” “we see upside risks from energy, services, import cost pressures”). The August statement notes inflation has eased as expected into the 2-3% range.

That would make the RBA more cautious about cuts and could support AUD strength / flatten AUD weakness

Guidance on future easing / timing

Any stronger language indicating sooner cuts (e.g. “if conditions evolve, we may ease in November / December”) versus previous “hold and monitor”

A more dovish forward guidance helps push rate expectations lower, weakening AUD crosses

Labor market / wage pressures

If the RBA expresses more concern about lingering wage growth or labor market tightness than it did in August. The current assessment is that the labor market has "eased slightly but capacity constraints remain." An upward revision to wage forecasts would be a key trigger.

That would temper markets’ expectations of aggressive easing, giving support back to AUD

Global / external risk language

If the statement amplifies concerns about a global slowdown, particularly regarding China or the impact of US tariffs. The August view was that the risks of a "damaging trade war appear to have diminished somewhat," though the outlook remains skewed to the downside.

Strengthening the external risk narrative supports a cautious or dovish tone; less risk talk would allow more hawkish posture

Electricity rebates & administered price reversal

In prior statement, rebates had depressed headline inflation; if this reversal is flagged earlier or larger than expected, that would suggest inflation could reaccelerate

That could push RBA to delay cuts or remain more restrictive

Change in conditionality / “if” to “when” phrases

If RBA moves from “if economic conditions warrant” to “when” or similarly more deterministic language about cuts.. The August statement is firmly in the conditional camp.

A more committed tone toward cuts would boost market expectations of cuts

Monetary policy reaction function

If they provide a clearer path (e.g. number of cuts, timing) or narrow the range of uncertainty

More clarity leads to more confident market positioning and potentially sharper AUD moves

Q&A tone shift / less equivocation

In the press conference, if the Governor or Board is more definitive (less “depends on data,” more “likely to” or “we expect to”)

That transparency or conviction would strengthen or weaken AUD depending on direction

Forecast or baseline revisions

Upgrades/downgrades to growth, inflation, employment forecasts relative to the last statement. The current forecasts are for GDP growth to reach 2.1% by late 2026, unemployment to stabilize at 4.3%, and trimmed mean inflation to remain around 2.6%.

A more cautious growth outlook might lean dovish; upward inflation revisions might push a more hawkish tilt

Likely scenarios & how they could differ from the last

Given recent developments, here are three possible scenarios:

  • Base scenario (most likely): The RBA holds at 3.60 %. The statement reaffirms the cautious, data-dependent posture. Slight upward tweaks to inflation risks or external uncertainty may be added, but no strong shift. The press conference is moderate, signaling openness to easing but with caution.

  • Dovish surprise scenario: The RBA hints that cuts may resume earlier (or states that easing will be more aggressive than markets thought). Also, a stronger downgrade to growth forecasts or emphasis on downside risks. In press conference, Governor leans into accommodative stance.

  • Hawkish-leaning surprise scenario: The RBA pushes back on market expectations for cuts, emphasizing persistent inflation risk, stronger wages, or tighter labor market. The forward guidance becomes more conditional or delayed. In press conference, there is more hesitation or guarded optimism rather than commitment.

aud
rba
Trade Setup
SellEURUSD@ 1.17210
SL Reached

Trade Summary

Entry Price1.17210
Closing Price1.17210
Risk (1.5%)$254.52
Result$312.84
Account Impact1.84%
Balance Before$16,967.76
Balance After$17,280.60
Trade Duration4 days

Original Trade and Updates

Trade Parameters

Entry
1.17210
Stop Loss
1.17210(B/E)
Take Profit 1
1.16620
Take Profit 2
1.15800
Exp. Duration
Short term

Trade Timeline

No updates have been posted for this trade yet.

eur
usd
Trade Setup
SellEURAUD@ 1.78345
SL Reached

Trade Summary

Entry Price1.78345
Closing Price1.78680
Risk (1.5%)$258.39
Result-$258.39
Account Impact-1.50%
Balance Before$17,226.15
Balance After$16,967.76
Trade Duration2 days

Original Trade and Updates

Trade Parameters

Entry
1.78345
Stop Loss
1.78680
Take Profit 1
1.77220
Take Profit 2
1.76750
Risk
33.5 pips
Reward (TP1)
112.5 pips
Reward (TP2)
159.5 pips
Risk-Reward
1 : 4.1
Exp. Duration
Swing trade

Trade Timeline

No updates have been posted for this trade yet.

eur
aud
PreviousPage 1 of 3Next

View Complete Performance History

See all closed trades with statistics and performance metrics

View Performance Archive →

About Our Forex Trade Setups

Our forex trade setups provide complete transparency into every trade across all major currency pairs. Each trade setup includes detailed technical analysis, precise entry points, risk management levels, and verified performance results.

What You Get

  • Real-time forex trades with defined entries, stops, and targets
  • Trade updates as positions develop
  • Complete trade reviews with lessons learned
  • Multi-timeframe analysis for each setup
  • Risk-reward ratios calculated before entry
  • Performance tracking with verified results

Coverage Across Major Pairs

Browse forex trade setups for all major currency pairs including EURUSD, GBPUSD, USDJPY, AUDUSD, NZDUSD, USDCAD, USDCHF, and many more. Each pair has its own dedicated page showing the complete history of trade setups and analysis.

100% Free & Transparent

All our forex trade setups are completely free. No hidden alerts, no premium tiers. Every trade is documented with full transparency—wins and losses included.

Active & Pending

Term of the Day

Uptrend

A market condition where prices are consistently reaching higher highs (HH) and higher lows (HL), indicating a sustained period of buying pressure.

Visit Encyclopedia

Trading Calculators

Start Learning

Master forex trading with our free course

View Full Course

Or pick a module:

1

Forex Basics

Master fundamentals and market structure

2

Fundamental Analysis Basics

Learn what moves currency markets

3

Advanced Fundamental Analysis

Master carry trades and macro forces

4

Technical Analysis Basics

Chart patterns, indicators & price action

5

Risk Management

Position sizing and stop-loss techniques

6

Trade Setups

Identify high-probability opportunities