NYMEX Natural Gas Future February 2015


Trading Metrics calculated at close of trading on 12-Jun-2014
Day Change Summary
Previous Current
11-Jun-2014 12-Jun-2014 Change Change % Previous Week
Open 4.635 4.646 0.011 0.2% 4.676
High 4.672 4.850 0.178 3.8% 4.805
Low 4.630 4.646 0.016 0.3% 4.638
Close 4.635 4.847 0.212 4.6% 4.790
Range 0.042 0.204 0.162 385.7% 0.167
ATR 0.079 0.089 0.010 12.3% 0.000
Volume 2,213 2,262 49 2.2% 9,404
Daily Pivots for day following 12-Jun-2014
Classic Woodie Camarilla DeMark
R4 5.393 5.324 4.959
R3 5.189 5.120 4.903
R2 4.985 4.985 4.884
R1 4.916 4.916 4.866 4.951
PP 4.781 4.781 4.781 4.798
S1 4.712 4.712 4.828 4.747
S2 4.577 4.577 4.810
S3 4.373 4.508 4.791
S4 4.169 4.304 4.735
Weekly Pivots for week ending 06-Jun-2014
Classic Woodie Camarilla DeMark
R4 5.245 5.185 4.882
R3 5.078 5.018 4.836
R2 4.911 4.911 4.821
R1 4.851 4.851 4.805 4.881
PP 4.744 4.744 4.744 4.760
S1 4.684 4.684 4.775 4.714
S2 4.577 4.577 4.759
S3 4.410 4.517 4.744
S4 4.243 4.350 4.698
High/Low/Range Statistics
Trading Days High Low Range Range % Average Range Average Range % Close % New High New Low Average Volume
5 4.850 4.630 0.220 4.5% 0.093 1.9% 99% True False 2,522
10 4.850 4.594 0.256 5.3% 0.078 1.6% 99% True False 2,156
20 4.850 4.486 0.364 7.5% 0.083 1.7% 99% True False 2,093
Crabel Price Patterns
NR False
NR4 False
NR5 False
NR7 False
WS True
WS4 True
WS5 True
WS7 True
ID False
OD False
IDnr4 False
2BNR False
3BNR False
4BNR False
8BNR False
Bear Hook False
Bull Hook False
Stretch 0.017
Widest range in 22 trading days
Fibonacci Retracements and Extensions
4.250 5.717
2.618 5.384
1.618 5.180
1.000 5.054
0.618 4.976
HIGH 4.850
0.618 4.772
0.500 4.748
0.382 4.724
LOW 4.646
0.618 4.520
1.000 4.442
1.618 4.316
2.618 4.112
4.250 3.779
Fisher Pivots for day following 12-Jun-2014
Pivot 1 day 3 day
R1 4.814 4.811
PP 4.781 4.776
S1 4.748 4.740

These figures are updated between 7pm and 10pm EST after a trading day.

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