1. Structured deposits are generally pre-agreed transaction interest rates. This means that in the future, the exchange rate of the euro against the US dollar will fluctuate around plus or minus 1600 points, and structured deposits can be traded according to the pre-agreed deposit interest rate. 1. In foreign exchange trading, the fourth place after the decimal point is regarded as the "point" of fundamental change. If the exchange rate is 2.0000, it will be 2. 1600 or 1.8400 3 and BPS after the fluctuation of1600. MACD is a commonly used technical indicator to analyze the trend of foreign exchange trading market, and DIF is the short-term moving average of MACD. I suggest you click on my avatar. My "My Profile" contains some introductory information about foreign exchange trading for your reference and study.
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