ICE US Dollar Index Future March 2015
Trading Metrics calculated at close of trading on 27-Jun-2014 |
Day Change Summary |
|
Previous |
Current |
|
|
|
|
26-Jun-2014 |
27-Jun-2014 |
Change |
Change % |
Previous Week |
Open |
80.494 |
80.345 |
-0.149 |
-0.2% |
80.548 |
High |
80.494 |
80.355 |
-0.139 |
-0.2% |
80.548 |
Low |
80.494 |
80.345 |
-0.149 |
-0.2% |
80.345 |
Close |
80.494 |
80.296 |
-0.198 |
-0.2% |
80.296 |
Range |
0.000 |
0.010 |
0.010 |
|
0.203 |
ATR |
0.136 |
0.137 |
0.001 |
0.7% |
0.000 |
Volume |
1 |
2 |
1 |
100.0% |
29 |
|
Daily Pivots for day following 27-Jun-2014 |
|
Classic |
Woodie |
Camarilla |
DeMark |
R4 |
80.362 |
80.339 |
80.302 |
|
R3 |
80.352 |
80.329 |
80.299 |
|
R2 |
80.342 |
80.342 |
80.298 |
|
R1 |
80.319 |
80.319 |
80.297 |
80.326 |
PP |
80.332 |
80.332 |
80.332 |
80.335 |
S1 |
80.309 |
80.309 |
80.295 |
80.316 |
S2 |
80.322 |
80.322 |
80.294 |
|
S3 |
80.312 |
80.299 |
80.293 |
|
S4 |
80.302 |
80.289 |
80.291 |
|
|
Weekly Pivots for week ending 27-Jun-2014 |
|
Classic |
Woodie |
Camarilla |
DeMark |
R4 |
81.005 |
80.854 |
80.408 |
|
R3 |
80.802 |
80.651 |
80.352 |
|
R2 |
80.599 |
80.599 |
80.333 |
|
R1 |
80.448 |
80.448 |
80.315 |
80.422 |
PP |
80.396 |
80.396 |
80.396 |
80.384 |
S1 |
80.245 |
80.245 |
80.277 |
80.219 |
S2 |
80.193 |
80.193 |
80.259 |
|
S3 |
79.990 |
80.042 |
80.240 |
|
S4 |
79.787 |
79.839 |
80.184 |
|
|
|
|
Fibonacci Retracements and Extensions |
4.250 |
80.398 |
2.618 |
80.381 |
1.618 |
80.371 |
1.000 |
80.365 |
0.618 |
80.361 |
HIGH |
80.355 |
0.618 |
80.351 |
0.500 |
80.350 |
0.382 |
80.349 |
LOW |
80.345 |
0.618 |
80.339 |
1.000 |
80.335 |
1.618 |
80.329 |
2.618 |
80.319 |
4.250 |
80.303 |
|
|
Fisher Pivots for day following 27-Jun-2014 |
Pivot |
1 day |
3 day |
R1 |
80.350 |
80.420 |
PP |
80.332 |
80.378 |
S1 |
80.314 |
80.337 |
|