On December 25, this year's FX trading was over,
We calculated the realized gains and losses for 2014 by financial product.
FX: +66 (excluding tax)
Regarding FX, specializing in major currencies of EURUSD and USDJPY,
After dealing with fundamentals,
The performance has improved, so I want to make more profits than stocks next year with this tone ^^.
In the future, FX risk hedges in stock
(In case of a temporary fall of Dow due to external factors, the dollar yen is shorted)
I want to use it as well.