Monthly Archive: November, 2013

2013 Outlook Year-End & Beyond: Part 3 – The 4 Rally Killers

Part 3: Four Things Could Send Markets (SPY) Plunging in 2014 The following is a partial summary of the conclusions from the fxempire.com  weekly analysts’ meeting. We stepped back from our normal weekly focus to… Continue reading

2013 Outlook Year-End & Beyond: Part 2 – 5 Reasons The Rally Endures

Part 2: The Bullish Forces: Trending Higher While These Remain In Place The following is a partial summary of the conclusions from the fxempire.com  weekly analysts’ meeting. We stepped back from our normal weekly focus… Continue reading

2013 Outlook Year-End & Beyond: Bullish Vs. Bearish Part 1 Intro, Overview

Part 1 of 4: Introduction, Overview of the following 3 Parts: The Must-Know Forces Driving Markets Into 2014, The Biggest Questions Facing Investors The following is a partial summary of the conclusions from… Continue reading

2013 Outlook Year-End & Beyond: Summary, Conclusions, Must-Watch Developments

Part 4 of 4: 9 Things That Decide The Markets’ Fate In The Coming Months The following is a partial summary of the conclusions from the fxempire.com  weekly analysts’ meeting. We stepped back from our… Continue reading

September-Mid November Long/Short EURUSD Positioning: Observations & Conclusions

It’s useful to know what’s driving intermediate term trader positioning behind the EURUSD. Unlike shorter term traders who are in and out of their positions in a matter of hours or days, these… Continue reading

Coming Week’s Market Movers & Tips For Locating Them Yourself

The following is a partial summary of conclusions from our weekly fxempire.com  analysts’ meeting in which we share thoughts and conclusions about the weekly outlook for global equities, currencies, and commodity markets.  The following is… Continue reading

Weekly Global Market Wrap: Stimulus Hopes, China, Drown Out Biggest Story

The really important news was mostly missed The following is a partial summary of the conclusions from the fxempire.com  weekly analysts’ meeting in which we share thoughts and conclusions about the common drivers of major… Continue reading

The Coming Week: The Biggest Story, Biggest Threat, Yet Least Covered

The Dubai World default was the catalyst for the start of the EU Crisis. Have we gotten the catalyst for its end?   The following is a partial summary of conclusions from our… Continue reading

ECB Bank Stress Tests: Catalyst Of The Final EU Crisis?

Everything you need to know about biggest threat to markets for the foreseeable future-why EU bank supervision can’t be avoided, but risks so much The following is a partial summary of conclusions from… Continue reading

No Taper Before March At Earliest:6 Reasons

Taper Tamper Timing Speculation Remains The Top Market Mover – Lessons And Conclusions   The following is a partial summary of conclusions from our weekly fxempire.com  analysts’ meeting in which we share thoughts and conclusions… Continue reading