camarilla pivot point today, march 02.2014
pair = gbp/chf
r4 = 1.4874
r3 = 1.4811
r2 = 1.4790
r1 = 1.4769
s1 = 1.4727
s2 = 1.4706
s3 = 1.4685
s4 = 1.4622
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camarilla pivot point today, march 02.2014
pair = gbp/chf
r4 = 1.4874
r3 = 1.4811
r2 = 1.4790
r1 = 1.4769
s1 = 1.4727
s2 = 1.4706
s3 = 1.4685
s4 = 1.4622
analysis for today 3 / 3 / 2014
GBP/CHF
Resistance : R1 1.4771 R2 1.4796 R3 1.4816 R4 1.4846
Support : S1 1.4657 S2 1.4632 S3 1.4612 S4 1.4582
Open : 1.4718
High : 1.4732
Low : 1.4696
Range : 36 Pips
Running Price : 1.4729
Strategy : SELL at the level 1.4729 stop loss at the level 1.4771 target take profit at the level 1.4612 or at the level 1.4582
today i like to buy this pair @ 1.4710
my stop loss of the day @ 1.4687
half take profit for today @ 1.4732
and further half take profit @ 1.4742
Fibonacci pivot point calculation
Pair = gbp/chf
Date = Monday, March 3, 2014
Time frame = Daily
Resistance 3 = 1.4918
Resistance 2 = 1.4857
Resistance 1 = 1.4819
Pivot Point = 1.4759
Support 1 = 1.4698
Support 2 = 1.4660
Support 3 = 1.4600
I hope these daily calculation can be used to help your forex trading
use it wisely and hopefully useful.
Pivot point calculation
Day = Monday
Date = March 03. 2014
Pair = gbp/chf
Time Frame = Daily forex
Resistance 3 = 1.4983
Resistance 2 = 1.4918
Resistance 1 = 1.4824
Pivot Point = 1.4759
Support 1 = 1.4665
Support 2 = 1.4600
Support 3 = 1.4506
This calculation can be used as a guide price action forex trading today.
I just give you the information and do not impose to use this price calculation.
Daily forex forecast
Pair : gbp/chf
Date : March 03. 2014
This calculation in done by using basic pivot point to determine the sell or buy.
The following calculation result,
if you buy at price : 1.4694
Take profit : 1.4889
Stop loss : 1.4535
if you sell at price : 1.4853
Take profit : 1.4571
Stop loss : 1.5012
calculation pivot point
r3 = 1.4754
r2 = 1.4733
r1 = 1.4723
pp = 1.4712
s1 = 1.4702
s2 = 1.4691
s3 = 1.4670
monday, march 03.2014
thank you
Camarilla pivot point is the calculation that you can use in forex trading.
Time frame = Daily
Date = Monday, March 03. 2014
Pair = gbp/chf
R4 = 1.4818
R3 = 1.4775
R2 = 1.4760
R1 = 1.4746
S1 = 1.4716
S2 = 1.4702
S3 = 1.4687
S4 = 1.4644
Woodie's pivot point calculation
time frame = Daily
pair = gbp/chf
Date = March 03. 2014
Resistance 2 = 1.4911
Resistance 1 = 1.4811
Pivot point = 1.4752
Support 1 = 1.4652
Support 2 = 1.4593
hopefully can help your trading
camarilla pivot point today, march 03.2014
pair = gbp/chf
r4 = 1.4724
r3 = 1.4719
r2 = 1.4717
r1 = 1.4715
s1 = 1.4711
s2 = 1.4709
s3 = 1.4707
s4 = 1.4702