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ALL CHANGES TO THE BANK POSITIONS AND ORDERS UNTIL 3rd JUNE

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See all changes to bank positions and orders until 3rd June

In this article, we will provide you with information about all the changes to all bank positions and orders until 3rd June. Credit Agricole and Reuters made several changes to their positions and orders.

The French financial conglomerate, Credit Agricole, opened a short position on EUR/USD with an opening price of 1.1174 USD. The take profit is set at 1.0885 USD and stop-loss at 1.1400 USD. Credit Agricole also closed a long position by stop-loss on EUR/AUD at 1.6200. They were buying from 1.6505 AUD.

The multinational media conglomerate, Thomson Reuters IFR placed a buy limit order for USD/JPY with an opening price of 108.10 JPY and a stop loss at a price of 107.10 JPY. Reuters IFR changed the entry point on the buy limit order for AUD/USD from 0.6740 to 0.6820 USD and the stop loss from 0.6640 to 0.6720 USD. They also changed the entry point for the buy limit order for USD/JPY from 108.10 to 108.20 JPY and the stop loss from 107.10 to 107.20 JPY. Reuters remains the big player on the market who updates most often its market positions and orders.

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Opened positions

And let’s see the updated information for all the open FOREX bank position for which we have information, we will keep you informed of any change related to them. The table shows the currency pair, the bank that opened the position, the type of position, the opening price, the target, the stop loss, and the date the position was opened.

SymbolBankPosition typePriceTPSLLast update
EUR/USDCredit AgricoleSELL1.11741.08851.1402.06.2020
EUR/GBPTD BankBUY0.88230.9150.860506.04.2020
EUR/GBPJP MorganBUY0.89490.950.86825.05.2020
EUR/JPYMorgan StanleySELL116.8611112324.03.2020
USD/CADBank of AmericaSELL1.4121.5251.3927.03.2020
AUD/NZDMorgan StanleyBUY1.08081.11.0601.06.2020
AUD/NZDNordeaSELL1.0631.021.0915.05.2020
EUR/CHFStandard CharteredSELL1.05920.951.0820.05.2020
EUR/CHFJP MorganSELL1.05441.021.07516.03.2020
EUR/CHFCredit AgricoleBUY1.0741.151.047514.05.2020
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Active orders

And let’s see the updates for all limit FOREX bank orders for which we have information, we will keep you informed of any change related to them. The table shows the currency pair, the bank that opened the limit position, the type of position, the opening price, the target, the stop loss, and the date the position was opened.

SymbolBankOrder typePriceTPSLLast update
GBP/USDReuters IFRBUY1.21401.20430.03.2020
GBP/USDReuters IFRSELL1.263501.273502.06.2020
GBP/USDReuters IFRBUY1.20101.19106.04.2020
GBP/USDReuters IFRSELL1.23101.24115.05.2020
GBP/USDReuters IFRBUY1.23101.22101.06.2020
GBP/USDReuters IFRSELL1.24901.25906.05.2020
EUR/USDReuters IFRSELL1.101501.111520.05.2020
EUR/USDReuters IFRBUY1.110501.100502.06.2020
EUR/USDNordeaBUY1.11.1671.07801.06.2020
EUR/USDMorgan StanleyBUY1.1021.1551.08501.06.2020
EUR/USDReuters IFRBUY1.086501.076518.05.2020
AUD/USDReuters IFRBUY0.68200.67202.06.2020
AUD/USDReuters IFRSELL0.66700.67727.04.2020
AUD/USDReuters IFRBUY0.6100.630.03.2020
EUR/GBPTD BankSELL0.8970.870.91701.06.2020
EUR/GBPReuters IFRSELL0.897500.907501.06.2020
EUR/GBPReuters IFRBUY0.874500.864522.04.2020
EUR/GBPReuters IFRBUY0.88700.87721.05.2020
USD/CADMorgan StanleySELL1.39551.341.42501.06.2020
USD/JPYReuters IFRSELL108.150109.1513.04.2020
USD/JPYReuters IFRBUY108.20107.203.06.2020
AUD/NZDGoldman SachsBUY1.051.121.0328.04.2020
GBP/JPYTD BankSELL130.55127.1132.606.04.2020

Protect your own funds

We hope you find this information useful, but be sure to rely entirely on your own knowledge. Before making investment decisions, first, make a detailed analysis and then act. Protect your own funds!

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