Camarilla pivot point is the calculation that you can use in forex trading.
Time frame = Weekly
Date = february 23. 2014
Pair = gbp/nzd
R4 = 2.0230
R3 = 2.0122
R2 = 2.0085
R1 = 2.0049
S1 = 1.9977
S2 = 1.9941
S3 = 1.9904
S4 = 1.9796
thank you and good luck.