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While equities and other risk assets attempted to stabilize from October’s speculative tumble, the FX world experienced a jolt of volatility this past week. With systemic themes like risks trends and trade wars already agitated, anticipation for the US mid-term elections and a run of rate decisions will keep traders tuned in and anxious. New
Events to watch out for Monday November 5 China Caixin Purchasing Managers’ Index for September Japan Nikkei Purchasing Managers’ Index for September Australian MI inflation Swiss sight deposits ECB’s de Guidos Bank of Canada Governor Stephen Poloz speaks in London to Canada-UK Chamber of Commerce with a press conference to follow at 9:30 a.m. US Markit services/composite PMI
Weekend gap trading is one popular trading strategy with foreign exchange, or Forex, traders. While technically speaking, the currency markets trade round-the-slock, forex trading normally closes on Friday afternoon and does not reopen until Sunday evening. The GBP/USD gapped down sharply over the weekend on Brexit news. What’s a good strategy to use for gap
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Preparations for a final Brexit deal “far more advanced” than previously disclosed UK Prime Minister Theresa May has secured concessions from the EU to keep the whole of Britain in a customs union, the Sunday Times reports, citing unnamed sources. The likely solves the problem of a hard Irish border and paves the way for
Fundamental Forecast for Canadian Dollar: Neutral USD/CAD bounces back from the weekly-low (1.3049) as the above-forecast print for U.S. Non-Farm Payrolls (NFP) overshadows the 11.2K expansion in Canada Employment, but price action ahead of the Federal Reserve meeting raises the risk for a larger pullback in the exchange rate as it carves a fresh series
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“USD/JPY correlation with US equities has actually been picking up recently – again suggesting that the mid-terms and what they mean for equity markets will set the tone,” note ING analysts. Key quotes “While it seems hard to repeat the 25% YoY growth in corporate earnings seen through this current earnings season in the US,
“The ebb and flow of Brexit continue to drive GBP and UK rates,” note ING analysts. Key quotes “After a bad October, (GBP short-term rates priced three years forward fell 30bp during the first three weeks of October), we see something of a reprieve. Remarks that we’ll see a Brexit deal by November 21st have
I fear the worst I just had a vision of the entirety of trading in the year ahead and it’s a microcosm of what we saw today. It’s like Brexit and NAFTA on steroids. Every headline the moves markets is about a US-China trade deal or not. It’s sounds like a rotten game. ForexLive