On 2026-07-01, EUR/GBP closed at 0.86133, down 0.01% on the day. It trades at 13.9% of its 52-week range. Its RSI(14) of 41.37 is in the 23rd percentile of its history since 1999, and its 20-day return of -0.28% in the 44th percentile. Leveraged-money positioning is net -6.3% of open interest, in the 88th percentile of its own two-year range.
=== EUR/GBP (pip 0.0001) ===
>> close 0.86133 -0.005%
price & change (as of 2026-07-01, prior 2026-06-30)
close 0.86133
change -0.00004 (-0.005%, -0.4 pips)
gap -0.00008 (-0.8 pips) (cross-session move on continuous FX; not a feed gap)
range (as of 2026-07-01)
range 0.00453 (45.3 pips)
close pos 89.6% of range
moving averages (as of 2026-07-01)
20d MA 0.86362 price below by -0.27%
50d MA 0.86486 price below by -0.41%
200d MA 0.87003 price below by -1.00%
price < all MAs
stack: 200d > 50d > 20d
volatility (as of 2026-07-01)
20d stdev 0.187% daily
ATR (as of 2026-07-01)
ATR(14) 0.00295 (29.5 pips)
ATR% 0.34%
range/ATR 153.4%
52-week range (as of 2026-07-01)
high 0.88653 (-2.84% from high)
low 0.85727 (+0.47% from low)
momentum (as of 2026-07-01)
RSI(14) 41.37
returns (as of 2026-07-01)
5d return -0.08%
20d return -0.28%
60d return -1.23%
volatility by rate-era
pre-crisis 0.4968%
ZIRP-2009 0.5520%
tightening-2015 0.5609%
ZIRP-2019 0.4735%
tightening-2022 0.8002%
easing-2024 0.2701%
positioning (as of 2026-06-23)
net -2,307 contracts (net short EUR/GBP)
net % OI -6.3%
net%OI range -53.5% … +0.1% (own 130w)
w/w change +265
cross-asset corr (26w weekly returns; async daily closes cap the magnitude) (as of 2026-07-01)
vs DXY -0.07
vs S&P 500 +0.26
vs DXY beta -0.04 (26w)