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Forex information
F.A.Q.
Glossary
Symbol
Bid
Ask
EURUSD
1.3084
1.3086
GBPUSD
1.5617
1.5620
USDTRY
1.5100
1.5110
USDRUB
30.1690
30.1740
USDJPY
87.11
87.14
USDCHF
1.0426
1.0429
USDCAD
1.0332
1.0335
AUDUSD
0.9017
0.9020
NZDUSD
0.7261
0.7264
EURGBP
0.8376
0.8379
EURJPY
113.99
114.02
EURCHF
1.3645
1.3648
EURCAD
1.3519
1.3527
EURAUD
1.4506
1.4516
EURTRY
1.9772
1.9787
GBPCHF
1.6285
1.6291
GBPJPY
136.05
136.11
AUDJPY
78.54
78.59
CADJPY
84.29
84.33
GOLD
1162.95
1163.35
SILVER
17.62
17.67
OIL
76.22
76.27
DJI
10498.92
10499.02
DAX
6219.93
6220.03
S&P500
1106.38
1106.48
NASDAQ
1801.83
1801.93
2010.07.29 14:58:07
What is Forex?
Action
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Home
/ F.A.Q. overview
1. Glossary
1.1. A
1.1.1. Adjustment
1.1.2. Arbitrage
1.1.3. Accrual
1.1.4. At best
1.1.5. At or better
1.1.6. Appreciation
1.1.7. Ask (offer) price
1.2. B
1.2.1. Base Currency
1.2.2. Book
1.2.3. Broker
1.2.4. Bretton Woods Agreement of 1944
1.2.5. Bundesbank, Buba
1.2.6. Bull market
1.2.7. Bar chart
1.2.8. Bear market
1.2.9. Bid/ask spread
1.2.10. Balance of trade
1.2.11. Big figure quote
1.2.12. Bid price
1.3. C
1.3.1. Currency
1.3.2. Closed position, squared position
1.3.3. Contagion
1.3.4. Currency risk
1.3.5. Cable
1.3.6. Clearing
1.3.7. Commission
1.3.8. Contract
1.3.9. Cross currency pairs or cross rate
1.3.10. Counter currency
1.3.11. Collateral
1.3.12. Currency pair
1.3.13. Confirmation
1.3.14. Country risk
1.3.15. Cash market
1.3.16. Cleared funds
1.3.17. Currency symbols
1.3.18. Counterparty
1.3.19. Central bank
1.3.20. Chartist
1.3.21. Candlestick chart
1.4. D
1.4.1. Devaluation
1.4.2. Deficit
1.4.3. Dealer
1.4.4. Depreciation
1.4.5. Delivery
1.4.6. Derivative
1.5. ?
1.5.1. Euro
1.5.2. European Monetary Union - EMU
1.5.3. European Central Bank, Ecb
1.5.4. End of day order – EOD
1.5.5. Economic indicator
1.6. F
1.6.1. Forex, FX
1.6.2. First In First Out – FIFO
1.6.3. Flat/Square
1.6.4. Federal Deposit Insurance Corporation - FDIC
1.6.5. Federal Reserve, Fed
1.6.6. Forward
1.6.7. Forward points
1.6.8. Fundamental analysis
1.6.9. Futures contract
1.7. G
1.7.1. G7
1.7.2. Gross Domestic Product - GDP
1.7.3. Gross National Product - GNP
1.7.4. Going long
1.7.5. Going short
1.7.6. Good Till Cancelled Order GTC
1.8. H
1.8.1. Hit the bid
1.8.2. Hedge
1.9. I
1.9.1. Intervention
1.9.2. Inflation
1.9.3. Initial Margin
1.9.4. Interbank rates
1.10. K
1.10.1. Kiwi
1.11. L
1.11.1. Liquidation
1.11.2. Liquidity
1.11.3. Limit order
1.11.4. London Inter-Bank Offered Rate
1.11.5. Leverage
1.11.6. Leading indicators
1.11.7. Long position
1.11.8. Lot
1.12. M
1.12.1. Margin
1.12.2. Market maker
1.12.3. Mark-to-market
1.12.4. Market risk
1.12.5. Maturity
1.12.6. Margin call
1.13. N
1.13.1. Net position
1.14. O
1.14.1. Over the counter - OTC
1.14.2. Offsetting transaction
1.14.3. Offer (ask)
1.14.4. Overnight position
1.14.5. Order
1.14.6. Open order
1.14.7. Open position
1.15. P
1.15.1. Position
1.15.2. Price transparency
1.15.3. Pips
1.15.4. Profit/Loss, or P/L, or Gain/Loss
1.15.5. Premium
1.15.6. Political risk
1.16. Q
1.16.1. Quote
1.17. R
1.17.1. Risk management
1.17.2. Resistance level
1.17.3. Risk
1.17.4. Rally
1.17.5. Roll-over
1.17.6. Revaluation
1.17.7. Round trip
1.17.8. Rate
1.18. S
1.18.1. Stop loss order
1.18.2. Support levels
1.18.3. Sterling
1.18.4. Spot price
1.18.5. Spread
1.18.6. Swissy
1.18.7. Swap
1.18.8. Settlement
1.18.9. Square
1.18.10. Short position
1.19. T
1.19.1. Transaction date
1.19.2. Technical analysis
1.19.3. Tomorrow next
1.19.4. Transaction cost
1.19.5. Turnover
1.19.6. Two-way price
1.20. U
1.20.1. Uptick
1.20.2. Uptick rule
1.20.3. US prime rate
1.20.4. Unrealized gain/loss
1.21. V
1.21.1. Variation margin
1.21.2. Volatility
1.21.3. Value date
1.22. W
1.22.1. Whipsaw
1.23. Y
1.23.1. Yard
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