Wrong calculation heads and lacked closing positions

 
The operations are: buy 1,4155; sell 1,4163. sell 1,1453; buy 1,1446. Why they give 6 and 5 points to me of profit instead of 8 and 7, and because do not close me the positions and it changes the values to me varying of the book? Thanks
 

Do you account the spread in your calculations? Seems like you have 2 pips spread...

thank you

Automated (automatedfx@gmail.com)

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my recent grid trading:

http://fx-grid2.forexmosaic.com/ - 8621 pips in 7 weeks

 
Automated wrote >>

Do you account the spread in your calculations? Seems like you have 2 pips spread...

thank you

Automated (automatedfx@gmail.com)

--

my recent grid trading:

http://fx-grid2.forexmosaic.com/ - 8621 pips in 7 weeks

Thank for reply.

The operations are not never sluices and it calculates it to the profit from the values sell/buy of the book. Buy they calculate it to the 1,4155 to the last offer of sale that is 1,4136, while sell the 1,4163 to the last offer of sale that is 1,4138: from here the 2 pip of spread. But to me it seems irregular this, because the gain of the broker is already in the spread of the book. Mistake? Thanks
 

When you buy you pay the Ask and close it at the Bid. the spread is paid on open.

When you sell you open at the Bid and close it at the Ask. The spread is paid at exit.

Reason: