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Forex Trading User Manual - Currency Reference Rates Window |
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The following information is available in the Currency Reference Rates window: Cur 1 (Currency 1 ) - first/contract currency Cur 2 (Currency 2 ) - second currency Last Bid (Last Sell) - price at which the last sell transaction was exercised at your system's dealing desk Last Ask (Last Buy) - price at which the last buy transaction was exercised at your system's dealing desk High (Day High) - the highest Bid price of the day Low (Day Low) - the lowest Ask price of the day Prm Buy (Premium Buy) - premium (in base currency) paid/charged per lot on buy positions not liquidated by the Day Closing Time (charged at the Day Closing Time) Prm Sell (Premium Sell) - premium (in base currency) paid/charged per lot on sell positions not liquidated by the Day Closing Time (charged at the Day Closing Time) Time (Time) - time of last price update The following functionality is available in the Currency Reference Rates window: Change Font - right click on any record in the window, choose "font", choose desired settings for the font. Show and Hide Columns - right click on the header, choose "columns" and check boxes next to columns you want to appear in the window Refresh Data - right click within any record or on the header, choose "refresh" Sort Records - right click on the header, then choose "sorting", then choose "ascending", "descending", or "default," or simply left-click the column title. All records in that column will be sorted. |
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Forex Trading - Top of Currency Reference Rates Window |
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Access Charts |
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Forex Trading - Top of Currency Reference Rates Window |
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© Aaron Trading / AaronFX. All Rights Reserved. |