Forex Dictionary - Index

Accrual Adjustment
Appreciation Arbitrage
Ask (Offer) Price At Best
At or Better Balance of Trade
Bar Chart Base Currency
Bear Market Bid Price
Bid/Ask Spread Book
Broker Bretton Woods Agreement of 1944
Bull Market Bundesbank
Cable Candlestick Chart
Cash Market Central Bank
Chartist Cleared Funds
Closed Position Clearing
Contagion Collateral
Commission Confirmation
Contract Counter Currency
Counterparty Country Risk
Cross Currency Pairs or Cross Rate Currency symbols
Currency Currency Pair
Currency Risk Day Trader
Dealer Deficit
Delivery Depreciation
Derivative Devaluation
Economic Indicator End Of Day Order (EOD)
European Monetary Union (EMU) EURO
European Central Bank (ECB) Federal Deposit Insurance Corporation (FDIC)
Federal Reserve (Fed) First In First Out (FIFO)
Flat/square Foreign Exchange - (Forex, FX)
Forward Forward Points
Fundamental Analysis Futures Contract
FX G7
Going Long Going Short
Gross Domestic Product Gross National Product
Good 'Til Cancelled Order (GTC) Hedge
Hit the bid Inflation
Initial Margin Interbank Rates
Intervention Kiwi
Leading Indicators Leverage
LIBOR Limit order
Liquidation Liquidity
Long position Lot
Margin Margin Call
Market Maker Market Risk
Mark-to-Market Maturity
Net Position Offer (ask)
Offsetting transaction One Cancels the Other Order (OCO)
Open order Open position
Over the Counter (OTC) Overnight Position
Order Pips
Political Risk Position
Premium Price Transparency
Profit/Loss or P/L or Gain/Loss Quote
Rally Range
Rate Resistance
Revaluation Risk
Risk Management Roll-Over
Round trip Settlement
Short Position Spot Price
Spread Square
Sterling Stop Loss Order
Support Levels Swap
Swissy Technical Analysis
Tick Tomorrow Next (Tom/Next)
Transaction Cost Transaction Date
Turnover Two-Way Price
Unrealized Gain/Loss Uptick
Uptick Rule US Prime Rate
Value Date Variation Margin
Volatility (Vol) Whipsaw
Yard