ICE US Dollar Index Future June 2015
Trading Metrics calculated at close of trading on 10-Sep-2014 |
Day Change Summary |
|
Previous |
Current |
|
|
|
|
09-Sep-2014 |
10-Sep-2014 |
Change |
Change % |
Previous Week |
Open |
85.145 |
84.665 |
-0.480 |
-0.6% |
83.300 |
High |
85.145 |
84.665 |
-0.480 |
-0.6% |
84.255 |
Low |
85.145 |
84.665 |
-0.480 |
-0.6% |
83.280 |
Close |
84.703 |
84.733 |
0.030 |
0.0% |
84.152 |
Range |
|
|
|
|
|
ATR |
0.241 |
0.226 |
-0.014 |
-6.0% |
0.000 |
Volume |
30 |
1 |
-29 |
-96.7% |
21 |
|
Daily Pivots for day following 10-Sep-2014 |
|
Classic |
Woodie |
Camarilla |
DeMark |
R4 |
84.688 |
84.710 |
84.733 |
|
R3 |
84.688 |
84.710 |
84.733 |
|
R2 |
84.688 |
84.688 |
84.733 |
|
R1 |
84.710 |
84.710 |
84.733 |
84.699 |
PP |
84.688 |
84.688 |
84.688 |
84.682 |
S1 |
84.710 |
84.710 |
84.733 |
84.699 |
S2 |
84.688 |
84.688 |
84.733 |
|
S3 |
84.688 |
84.710 |
84.733 |
|
S4 |
84.688 |
84.710 |
84.733 |
|
|
Weekly Pivots for week ending 05-Sep-2014 |
|
Classic |
Woodie |
Camarilla |
DeMark |
R4 |
86.821 |
86.461 |
84.688 |
|
R3 |
85.846 |
85.486 |
84.420 |
|
R2 |
84.871 |
84.871 |
84.331 |
|
R1 |
84.511 |
84.511 |
84.241 |
84.691 |
PP |
83.896 |
83.896 |
83.896 |
83.986 |
S1 |
83.536 |
83.536 |
84.063 |
83.716 |
S2 |
82.921 |
82.921 |
83.973 |
|
S3 |
81.946 |
82.561 |
83.884 |
|
S4 |
80.971 |
81.586 |
83.616 |
|
|
|
|
Fibonacci Retracements and Extensions |
4.250 |
84.665 |
2.618 |
84.665 |
1.618 |
84.665 |
1.000 |
84.665 |
0.618 |
84.665 |
HIGH |
84.665 |
0.618 |
84.665 |
0.500 |
84.665 |
0.382 |
84.665 |
LOW |
84.665 |
0.618 |
84.665 |
1.000 |
84.665 |
1.618 |
84.665 |
2.618 |
84.665 |
4.250 |
84.665 |
|
|
Fisher Pivots for day following 10-Sep-2014 |
Pivot |
1 day |
3 day |
R1 |
84.710 |
84.888 |
PP |
84.688 |
84.836 |
S1 |
84.665 |
84.785 |
|