I need someone who has far more knowledge in the Financials, to please fact-check my Profit calculation on the Main Bonds/T-Notes/Euro Bunds
In all calculations, I am assuming that each market moved/a profit of 1.23
ZB = 1.23 x $1,000 = $1,230 ( Profit ) ?
ZN = 1.23 x $1,000 = $1,230 ( Profit ) ?
ZF = 1.23 x $1,000 = $1,230 ( Profit ) ?
ZT = 1.23 x $2,000 = $2,460 ( Profit ) ?
UB = 1.23 x $1,000 = $1,230 ( Profit ) ?
ZQ = 1.23 x $4,167 = $5,125 ( Profit ) ?
GE = 1.23 x $2,500 = $3,075 ( Profit ) ?
FGBL = 1.23 x $1,100 = $1,353 ( Profit ) ?
FGBM = 1.23 x $1,100 = $1,353 ( Profit ) ?
FGBS = 1.23 x $1,100 = $1,353 ( Profit ) ?
Thanks so much for the help
I'm a bit lost in the accuracy of the proper way t calculate / the Math on these
Thank you
In all calculations, I am assuming that each market moved/a profit of 1.23
ZB = 1.23 x $1,000 = $1,230 ( Profit ) ?
ZN = 1.23 x $1,000 = $1,230 ( Profit ) ?
ZF = 1.23 x $1,000 = $1,230 ( Profit ) ?
ZT = 1.23 x $2,000 = $2,460 ( Profit ) ?
UB = 1.23 x $1,000 = $1,230 ( Profit ) ?
ZQ = 1.23 x $4,167 = $5,125 ( Profit ) ?
GE = 1.23 x $2,500 = $3,075 ( Profit ) ?
FGBL = 1.23 x $1,100 = $1,353 ( Profit ) ?
FGBM = 1.23 x $1,100 = $1,353 ( Profit ) ?
FGBS = 1.23 x $1,100 = $1,353 ( Profit ) ?
Thanks so much for the help
I'm a bit lost in the accuracy of the proper way t calculate / the Math on these
Thank you