ICE US Dollar Index Future March 2015
| Trading Metrics calculated at close of trading on 18-Jun-2014 |
| Day Change Summary |
|
Previous |
Current |
|
|
|
|
17-Jun-2014 |
18-Jun-2014 |
Change |
Change % |
Previous Week |
| Open |
80.941 |
80.893 |
-0.048 |
-0.1% |
81.015 |
| High |
80.941 |
80.893 |
-0.048 |
-0.1% |
81.163 |
| Low |
80.941 |
80.893 |
-0.048 |
-0.1% |
80.850 |
| Close |
80.941 |
80.893 |
-0.048 |
-0.1% |
80.964 |
| Range |
|
|
|
|
|
| ATR |
|
|
|
|
|
| Volume |
4 |
4 |
0 |
0.0% |
5 |
|
| Daily Pivots for day following 18-Jun-2014 |
|
Classic |
Woodie |
Camarilla |
DeMark |
| R4 |
80.893 |
80.893 |
80.893 |
|
| R3 |
80.893 |
80.893 |
80.893 |
|
| R2 |
80.893 |
80.893 |
80.893 |
|
| R1 |
80.893 |
80.893 |
80.893 |
80.893 |
| PP |
80.893 |
80.893 |
80.893 |
80.893 |
| S1 |
80.893 |
80.893 |
80.893 |
80.893 |
| S2 |
80.893 |
80.893 |
80.893 |
|
| S3 |
80.893 |
80.893 |
80.893 |
|
| S4 |
80.893 |
80.893 |
80.893 |
|
|
| Weekly Pivots for week ending 13-Jun-2014 |
|
Classic |
Woodie |
Camarilla |
DeMark |
| R4 |
81.931 |
81.761 |
81.136 |
|
| R3 |
81.618 |
81.448 |
81.050 |
|
| R2 |
81.305 |
81.305 |
81.021 |
|
| R1 |
81.135 |
81.135 |
80.993 |
81.064 |
| PP |
80.992 |
80.992 |
80.992 |
80.957 |
| S1 |
80.822 |
80.822 |
80.935 |
80.751 |
| S2 |
80.679 |
80.679 |
80.907 |
|
| S3 |
80.366 |
80.509 |
80.878 |
|
| S4 |
80.053 |
80.196 |
80.792 |
|
|
|
|
|
|
| Fibonacci Retracements and Extensions |
|
4.250 |
80.893 |
|
2.618 |
80.893 |
|
1.618 |
80.893 |
|
1.000 |
80.893 |
|
0.618 |
80.893 |
|
HIGH |
80.893 |
|
0.618 |
80.893 |
|
0.500 |
80.893 |
|
0.382 |
80.893 |
|
LOW |
80.893 |
|
0.618 |
80.893 |
|
1.000 |
80.893 |
|
1.618 |
80.893 |
|
2.618 |
80.893 |
|
4.250 |
80.893 |
|
|
| Fisher Pivots for day following 18-Jun-2014 |
| Pivot |
1 day |
3 day |
| R1 |
80.893 |
80.883 |
| PP |
80.893 |
80.872 |
| S1 |
80.893 |
80.862 |
|