Tag Archive: EU CRISIS AND PERIPHERY ECONOMIES

LESSONS FOR THE COMING WEEK PART 1: EARNINGS, STATE OF THE RALLY UPDATE

Lessons from the first real week of earnings, latest bullish, bearish case for stocks The following is a partial summary of the conclusions from the fxempire.com  weekly analysts’ meeting in which we share thoughts about… Continue reading

LESSONS FOR THE COMING WEEK PART 2: EU GRAND DELUSIONS, CHINA DEBT SENTENCE

EU periphery assets risks, prices, rise simultaneously; China seeks to avoid joining US, Japan, EU on “Debt Row” The following is a partial summary of the conclusions from the fxempire.com  weekly analysts’ meeting in which… Continue reading

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