During last week's trading session, the Dollar continued to strengthen, mostly due to the Greek debt crisis which weakens the Euro. This week however, Interest Rates Announcements are expected from the U.S, Japan and New Zealand. This promises a much more volatile week, with unique opportunities to see high profits. Will you take advantage?

Forex Market Trends

 
EUR/USD
GBP/USD
USD/JPY
USD/CHF
AUD/USD
EUR/GBP

Daily Trend

Weekly Trend

Resistance
1.3440
1.5570
95.25
1.0890
0.9380
0.8745

1.3390
1.5535
94.90
1.0845
0.9345
0.8700

1.3340
1.5490
94.50
1.0800
0.9315
0.8660

Support
1.3275
1.5400
93.85
1.0725
0.9245
0.8600

1.3230
1.5360
93.50
1.0680
0.9215
0.8565

1.3185
1.5330
93.20
1.0645
0.9180
0.8525