ECBOT 10 Year T-Note Future March 2015
Trading Metrics calculated at close of trading on 24-Jul-2014 |
Day Change Summary |
|
Previous |
Current |
|
|
|
|
23-Jul-2014 |
24-Jul-2014 |
Change |
Change % |
Previous Week |
Open |
123-210 |
123-090 |
-0-120 |
-0.3% |
123-040 |
High |
123-210 |
123-090 |
-0-120 |
-0.3% |
123-170 |
Low |
123-210 |
123-090 |
-0-120 |
-0.3% |
123-010 |
Close |
123-210 |
123-090 |
-0-120 |
-0.3% |
123-140 |
Range |
|
|
|
|
|
ATR |
0-057 |
0-062 |
0-004 |
7.8% |
0-000 |
Volume |
1 |
1 |
0 |
0.0% |
5 |
|
Daily Pivots for day following 24-Jul-2014 |
|
Classic |
Woodie |
Camarilla |
DeMark |
R4 |
123-090 |
123-090 |
123-090 |
|
R3 |
123-090 |
123-090 |
123-090 |
|
R2 |
123-090 |
123-090 |
123-090 |
|
R1 |
123-090 |
123-090 |
123-090 |
123-090 |
PP |
123-090 |
123-090 |
123-090 |
123-090 |
S1 |
123-090 |
123-090 |
123-090 |
123-090 |
S2 |
123-090 |
123-090 |
123-090 |
|
S3 |
123-090 |
123-090 |
123-090 |
|
S4 |
123-090 |
123-090 |
123-090 |
|
|
Weekly Pivots for week ending 18-Jul-2014 |
|
Classic |
Woodie |
Camarilla |
DeMark |
R4 |
124-267 |
124-203 |
123-228 |
|
R3 |
124-107 |
124-043 |
123-184 |
|
R2 |
123-267 |
123-267 |
123-169 |
|
R1 |
123-203 |
123-203 |
123-155 |
123-235 |
PP |
123-107 |
123-107 |
123-107 |
123-122 |
S1 |
123-043 |
123-043 |
123-125 |
123-075 |
S2 |
122-267 |
122-267 |
123-111 |
|
S3 |
122-107 |
122-203 |
123-096 |
|
S4 |
121-267 |
122-043 |
123-052 |
|
|
|
|
Fibonacci Retracements and Extensions |
4.250 |
123-090 |
2.618 |
123-090 |
1.618 |
123-090 |
1.000 |
123-090 |
0.618 |
123-090 |
HIGH |
123-090 |
0.618 |
123-090 |
0.500 |
123-090 |
0.382 |
123-090 |
LOW |
123-090 |
0.618 |
123-090 |
1.000 |
123-090 |
1.618 |
123-090 |
2.618 |
123-090 |
4.250 |
123-090 |
|
|
Fisher Pivots for day following 24-Jul-2014 |
Pivot |
1 day |
3 day |
R1 |
123-090 |
123-150 |
PP |
123-090 |
123-130 |
S1 |
123-090 |
123-110 |
|