Trading offers of Trading Central site Forex market - Tuesday, April 13
Euro / US dollar
Offer: sell below point 1.2020 with first profit tick 1.1870 and second profit tick 1.1860
Alternative offer: (If the price trend changes) When the price penetrates above 1.2020, the price first starts moving towards 1.1940 and 1.1960.
British Pound / US Dollar
Offer: Sales below 1.3765 with a first profit tick of 1,3705 and a second profit tick of 1,3685
Alternative offer: (In case of price trend change) When the price penetrates above 1.3765, the price first starts moving towards 1.3780 and 1.3800.
US Dollar / Japanese Yen
Offer: Trading below 109.55 with a first profit tick of 109.00 and a second profit tick of 108.75
Alternative offer: (If the price trend changes) When the price penetrates above 109.55, the price first starts moving towards 109.75 and 109.95.
US Dollar / Swiss Franc
Offer: Buy point above 0.9215 with the first check tick of 0.9270 and the second check tick of 0.9290
Alternative offer: (If the price trend changes) When the price penetrates below 0.9215, the price first starts moving towards 0.9200 and 0.9185.
Australian dollar / US dollar
Offer: sell below 0.7635 with a first profit tick of 0.7590 and a second profit tick of 0.7570
Alternative offer: (In case of price trend change) When the price penetrates above 0.7635, the price first starts moving towards 0.7660 and 0.7680.
US Dollar / Canadian Dollar
Offer: Buy a deal above the point of 1. 2565 with the first profit tick of 1.2635 and the second profit tick of 1.2650
Alternative offer: (In case of price trend change) When the price penetrates below 1.2565, the price first starts moving towards 1.2535 and 1.2520.