Forex Trading Live chart : USDxxx US Dollar to World currency exchange rates real-time chart for long-term forecast and position trading





Abbreviations used in the table are: EUR (EURUSD, Euro to US Dollar rates) GBP (GBPUSD, British Sterling Pound to US Dollar rates) AUD (AUDUSD, Australian Dollar to US Dollar rates) NZD (NZDUSD, New Zealand Dollar to US Dollar rates) CHF (USDCHF, US Dollar to Swiss Franc rates) CAD (USDCAD, US Dollar to Canadian Dollar rates) MXN (USDMXN, US Dollar to Mexican Peso rates) BRL (USDBRL, US Dollar to Brazilian real rates) CNY (USDCNY, US Dollar to Chinese Renminbi Yuan rates) RUB (USDRUB, US Dollar to Russian Ruble rates) JSGD (USDSGD, US Dollar to Singapore Dollar rates) PY (USDJPY, US Dollar to Japanese Yen rates) DXY (US Dollar Index Futures, ICE: DX)

Position Trading : hold a position for the long-term (weeks to months and years) to profit from the move in the primary trend. Swing Trading : a short-term(days to a couple of weeks) trading method and focuses on taking smaller gains. Day Trading : Day trading could make it possible for trader to get some good profits fast. However, it can be very risky. It is very difficult to do and demands a high level of concentration. Trader has to sit in front of computer screens and practically glue their eyes to the price action. Day trader should use a risk-management method keeping capital losses to a minimum. Again, day trading could be Very Risky.