Forex Forecasting – for Short Term Trade
(EUR=): Sell at 1.0900 target at 1.0800, stop loss > 1.0950 (JPY=): Buy at 119.75, target at 120.75, stop loss < 119.25. (GBP=): Sell at 1.5025, target at 1.4925, stop loss > 1.5075. (CHF=): Buy at 0.9750, target at 0.9850, stop loss < 0.8700. (AUD=): Sell at 0.7800, target at 0.7700, stop loss > 0.7850.

 
Maxco Futures
CURRENCY BUY POST. SELL POST.
EUR/USD -1.50% -1.50%
USD/JPY -2.00% -1.00%
GBP/USD -1.25% -1.75%
USD/CHF -1.25% -1.75%
Last Updated : 2015-03-23 10:47:07
SYMBOL
BID
ASK
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 Central Bank Rates: USD  0.00-0.25% JPY  0.00-0.10% EUR  0.05% GBP  0.50% CHF  -0.75% AUD  2.25% CAD  0.75%
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