Sunday, November 14, 2010

Currency Market Outlook

$USD - U.S. Dollar +1.97%
$GBP - British Pound -0.27%
$CAD - Canadian Dollar -0.89%
$JPY - Japanese Yen -1.73%
$CHF - Swiss France -1.93%
$EUR - Euro -2.44%
$AUD - Austrailian Dollar +-2.87%

*** all percentage gains represent weekly gains for the week prior ***

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