The Canadian dollar is threatening to hit the worst levels since May 2020 in what would be a major range breakout. Aside from brief periods during covid and the oil price collapse in 2016 (both less than a month long), this would be the lowest level since 2003. I expect this period of weakness to
Month: October 2024
All 72 economists surveyed by Reuters expect the Bank of England to lower rates to 4.75% next week but what happens at the subsequent meeting on December 19 is far less certain. Of the 72, there are 46 who predict no change and 26 predict a cut. The majority expecting a hold runs counter to
There is just one to really take note of on the day, as highlighted in bold. That being for EUR/USD at the 1.0800 level. Alongside the 100-hour moving average nearby at 1.0802 currently, it is likely to keep a lid on price action in the session ahead. That especially with higher yields continuing to underpin
As the North American session begins, what are the key technical levels and why, are in play? EURUSD: The EURUSD moved above the 100-hour MA on Thursday and extended to the 200-hour MA on Friday. The pair’s prive moved to and then just above the 200-hour MA (green line on the chart below), but could
Headlines: Markets: EUR leads, JPY lags on the day European equities higher; S&P 500 futures up 0.5% US 10-year yields up 2.5 bps to 4.256% Gold down 0.6% to $2,731.59 WTI crude down 5.7% to $67.65 Bitcoin up 2.8% to $68,660 The main focus in FX was on the Japanese yen, as it opened with
Aark Digital recently experienced a security incident in which an unauthorized party accessed and withdrew approximately 1,386,085 USDC and 24.143 ETH. In response, the project has launched 24/7 recovery efforts, while also implementing additional security measures to safeguard against any further unauthorized activity. As part of its recovery strategy, Aark Digital is offering a 15%
High risk warning: Foreign exchange trading carries a high level of risk that may not be suitable for all investors. Leverage creates additional risk and loss exposure. Before you decide to trade foreign exchange, carefully consider your investment objectives, experience level, and risk tolerance. You could lose some or all your initial investment; do not
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High risk warning: Foreign exchange trading carries a high level of risk that may not be suitable for all investors. Leverage creates additional risk and loss exposure. Before you decide to trade foreign exchange, carefully consider your investment objectives, experience level, and risk tolerance. You could lose some or all your initial investment; do not
Info comes via Reuters, updating the Citi outlook for oil. Lowers 0-3 month Brent oil target price to $70/bbl (from $74/bbl) Lowers Q4 2024 Brent forecast to $70/bbl (from $74/bbl) Recent Israel military action is unlikely to be seen by the market as leading to an escalation that impacts oil supply We expect a lower
European Central Bank policy rate-setter Knot spoke on Saturday, watering down expectation of a December ECB rate cut just a little: “It is important that we keep all options open. Retaining full optionality would act as a hedge against the materialization of risks in either direction to the growth and inflation outlook,” “We believe that
The USDCHF continues to consolidate near highs in up and down trading: Key resistance: There is he resistance at the 100 day moving average at 0.86904. The high price for the week on Wednesday reached 0.86854. Getting above those levels is more bullish. Key support: Close support now comes in at the rising 200-hour moving
Weeks of speculating about how Israel would respond to Iran’s attacks had markets worried about strikes on energy infrastructure or something that would spark a broader war. Instead, the attacks look to be measured and US President Biden immediately called for a halt to escalation. Reports from Iran say the attacks caused only limited damage
Sun: Japanese LDP Election Mon: Japanese Jobs Report (Sep) Tue: German GfK (Nov), US JOLTS (Oct) Wed: UK Budget, Australian CPI (Sep), Spanish Flash CPI (Oct), US ADP (Oct), German Flash GDP (Q3) and Prelim CPI (Oct), EZ Prelim GDP (Oct), US GDP Advance (Q3), Japanese Retail Sales (Sep) Thu: BoJ Announcement and Outlook Report,
The NASDAQ index is soaring as yields back off. Durable goods were better than expected with ex Boeing numbers showing strength. The Michigan consumer sentiment came in better with inflation expectations lower than last month at 2.7% (versus 2.9%). The NASDAQ index is now up 243 points or 1.32% at 18658.80. The index is also
UPCOMING EVENTS: Tuesday: Japan Unemployment Rate, US Job Openings, US Consumer Confidence. Wednesday: UK Budget, Australia Q3 CPI, Germany CPI, Eurozone Q3 GDP, US ADP, US Q3 GDP. Thursday: Japan Industrial Production and Retail Sales, Australia Retail Sales, China PMIs, BoJ Policy Decision, Switzerland Retail Sales, French CPI, Eurozone Flash CPI, Eurozone Unemployment Rate, Canada
Medium-term Lending Facility (MLF) 700bn injected 1 year 2% rate 789bn mature This article was written by Eamonn Sheridan at www.forexlive.com. Source link
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High risk warning: Foreign exchange trading carries a high level of risk that may not be suitable for all investors. Leverage creates additional risk and loss exposure. Before you decide to trade foreign exchange, carefully consider your investment objectives, experience level, and risk tolerance. You could lose some or all your initial investment; do not
gold daily Gold is impressive once again today as it rises $8 to $2743 after earlier falling as low as $2717. The rebound virtually assures that it will break the weekly closing record of $2719 set just a week ago. It’s been record after record for gold and on Wednesday it touched the best-ever at
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