Category Archive: Weekly Review / Preview

The Teflon EURUSD, And The Key Lessons From The EU

Why The EURUSD Should Fall, Why It Doesn’t, And What You Should And Shouldn’t Do About It. The following is a partial summary of the conclusions from the fxempire.com  weekly analysts’ meeting in which we… Continue reading

Grand Delusion Update: New Bank Risks, SRM Challenges, Yet GIIPS Markets Outperform

Prices AND Risks of EU Periphery Stocks, Bonds Rising Together, & Key Mistake To Avoid   The following is a partial summary of the conclusions from the fxempire.com  weekly analysts’ meeting in which we share… Continue reading

China Syndrome: The Next Global Melt Down?

Sub-Prime Crisis Chinese Style: Complete With Chinese CMOs, Dark Pools, Sleeping Regulators   The following is a partial summary of the conclusions from the fxempire.com  weekly analysts’ meeting in which we share thoughts about key… Continue reading

What Could Reverse The USDJPY Uptrend & Offer New Long Entry Point?

What fundamental drivers could reverse the USDJPY up trend, and offer longer term investors a better entry point for new long positions?   The following is a partial summary of conclusions from our… Continue reading

Coming Week’s Top Market Movers: 5 Things You Must Watch

A quiet calendar masks the potential sources of volatility this week   1.     GIIPS BOND RALLY TO CONTINUE, ATTRACT NEW OFFERINGS? GERMAN COURT RULING COULD INFLUENCE As we discussed in depth here, this was… Continue reading

Lessons For Coming Week Part 2: Must-Know Warnings On EU, China, & USDJPY

Lessons For The Coming Week Part 2: Beware ECB’s Glaring Omission, EU Grand Delusion On Periphery Bond Risk, China’s Big Risk & Challenge, What Could Rally the JPY? The following is a partial… Continue reading

Lessons for Coming Week Part 1: Jobs, The Rally, Taper – Updates, Ramifications, Actionable Ideas

Lessons for the coming week Part 1: Lessons from the US The following is a partial summary of conclusions from our weekly fxempire.com analysts’ meeting about the weekly outlook for global equities, currencies, and commodity… Continue reading

The State Of The Bull Market Week Of January 13, 2014

An update on the balance of bullish and bearish forces for stocks and other risk assets, and by extension, safe haven assets too, and ideas on what to do The following is a… Continue reading

US December 2013 Jobs Reports Results & Ramifications

Weather partly to blame, but the US December non-farms payrolls results will influence markets for the coming month, as discussed below The following is a partial summary of conclusions from our weekly fxempire.com analysts’ meeting… Continue reading

Grand Delusion: Scramble For GIIPS Bonds Despite High Risk, Low Yield

Traders Gone Wild: GIIPS Bond Yields Approach Pre-Crisis Levels After EU SRM Deal Virtually Abandons GIIPS Banks Irish Bond Sale Sparks Bull Market In GIIPS Stocks & Bonds. Big Risks, Rewards For Traders… Continue reading