Tag Archive: CURRENCY RISK RANKINGS AND USES

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

COMING WEEK 7 MUST-WATCH LIKELY MARKET MOVERS THAT COULD SPOIL THE HOLIDAYS

Mid-week holidays for the next 2 weeks, plus a deferred US monthly jobs report until January 10th suggest quiet range bound trade until next year. What could spoil the quiet?   The following is… Continue reading

THE 7 MUST-KNOW LESSONS FOR THE COMING WEEK

Two huge policy moves, two vastly different implications The following is a partial summary of the conclusions from the fxempire.com  weekly analysts’ meeting in which we share thoughts about lessons we’ve learned for the coming… Continue reading

HOW FOREX TRADERS CAN PROFIT FROM THE LATEST HUGE FED, EU ACTIONS

Both the US and EU made significant policy decisions last week, here’s a brief review of trading implications US: Symbolic Taper Bullish For Both USD And Stocks Last week the US provided markets… Continue reading

How The Fed Turned Taper Selloff Into A Rally: Reasons, Lessons And How To Profit

How the Fed turned a potential market route into a rally – and lessons implied for the future, as well as thoughts on how to profit for both currency and stock investors The… Continue reading

Weekly Global Stocks Wrap:FED’s Early Holiday Gift to Markets

A summary and reminder of what drove risk appetite, as reflected in the major international stock indexes – useful for those in forex, stocks, bonds, commodities, and other markets that are influenced by… Continue reading

14 REASONS THE EU BANK REFORM PLAN NOT ONLY FAILS – IT MAKES THINGS WORSE

EU Finance Ministers Drive Another Nail In EU’s Coffin: Banks more at risk than ever, no easier to save Bail ins make it easier to kill a bank, Germans block any serious funding,… Continue reading

The Coming Week’s 14 Market Movers & Rare Low-Risk Entry Point

14 market drivers to watch, 2 big fundamental events, something even bigger than Fed taper speculation, and big chance to buy on the dip in a strong uptrend The following is a partial… Continue reading