This strategy is very simple and is based on statistical study. Even
if the edge is slim , the EURO has a tendency to decrease during
european markets and has a tendency to increase during US markets.
Naturally , it is not taking into account important annoucements that
could change the tendency.
So i decided to sell at 5 millions between 8 and 13 (approximately)
and to buy the EUR/USD between 14 and 19 (aprroximately). The closing
is set at the certain time , so the closing conditions of the position
are of no matter.