Posizioni Forex di Credit Suisse
NZD / USD: Ordine pendente di vendita a 0.7160, Take Profit 0.6960, Stop Loss 0.7203.
GBP / USD: Limit Order dated October 10, changed: Sell a 1.2370 Take Profit 1.2230 stop 1.2431
Posizioni Aperte
EUR/USD: Buy a 1.1105, Take Profit 1.1250, Stop Loss 1.1046.
AUD / USD: Sell a of 0.7605, Take Profit 0.7490, stop 0.7645.
Euro / Yen: Sell a 115.80, Take Profit 113.65, stop 116.37.
Ordini pendenti in portafoglio :
Kiwi / USD: Sell a 0.7160, Take Profit 0.6960, stop 0.7203
Pound / USD: Sell a 1.2370, Take Profit 1.2230, stop 1.2431
USD / Yen: Sell a of 104.10, Take Profit 102.80, stop 104.50
Euro / Pound: Buy a 0.8965, Take Profit0.9195, stop 0.8900
Pound / USD: Sell a 1.2860, Take Profit 1.2535, stop 1.2975
USD / CAD: Buy a1.3070, Take Profit 1.3280, stop 1.3000
Pound / Yen: Sell a 134.48, Take Profit 118.80, stop 137.43