Tag Archive: FXF

EURUSD Weekly Outlook: The Bullish, Bearish, And Likely Drivers

  Here’s a quick overview of what’s likely to move the EURUSD for the coming week,  and why. Risk Asset Markets Overbought: Bearish   As noted in our recent articles here and here,… Continue reading

Coming Week Market Movers: Bullish Momentum Vs. Bearish Fundamentals

Once again we’ve got toppy markets that are not supported by fundamentals other than large scale central bank stimulus. Of course, that very large scale stimulus has been all that’s needed to keep… Continue reading

7 Reasons Markets Are Overbought, And What To Do

7 Answers To The Biggest Investor Question At The Start Of 2013 Most key gauges of risk assets, like the S&P 500 or other major global stock indexes, are near decade highs. Thanks… Continue reading

Prior Week Review And Lessons For The Coming Week

In sum, even normally market moving events like US monthly jobs and Q4 2012 earnings continue to be drowned out by headlines related to the latest new stimulus or austerity related headlines, whether… Continue reading

2012’s Biggest Lie, 2013’s Biggest Risk

EU Crisis Reminder: Why It Isn’t Getting Better, Implications for Stocks, Gold, the EURUSD and Other Currency Pairs and Asset Classes, and What To Do While doing research for our recent 4 part… Continue reading

VIRTUALLY ALL 2013 OUTLOOKS SUMMARIZED: PART 1 – SHORT VERSION SUMMARY, CONCLUSIONS

Part 1 of a 4 Part Series: The Key Bearish, Bullish Market Movers, Top Risks And Questions, Conclusions, And What To Do, Summarized, With Links To Details     Having reviewed the 2013… Continue reading

VIRTUALLY ALL 2013 OUTLOOKS SUMMARIZED: PART 2 – ARRAY OF BEARISH FORCES

Part 2 of a 4 Part Series: The Key Bearish, Bullish Market Movers, Top Risks And Questions, Conclusions, And What To Do   We’ll start with the likely bearish market movers, because the… Continue reading

VIRTUALLY ALL 2013 OUTLOOKS SUMMARIZED: PART 3 – ARRAY OF BULLISH FORCES

Part 3 of a 4 Part Series: The Key Bearish, Bullish Market Movers, Top Risks And Questions, Conclusions, And What To Do Despite all of the negatives covered in Part 2, asset prices… Continue reading

VIRTUALLY ALL 2013 OUTLOOKS SUMMARIZED: PART 4 – CONCLUSIONS, ACTIONS

Part 4 of a 4 Part Series: The Key Bearish, Bullish Market Movers, Top Risks And Questions, Conclusions, And What To Do So here’s what we’ve got after Part 1, Part 2, and… Continue reading

TOP 9 COMING WEEK MARKET MOVERS, 2013’S BIGGEST QUESTION AND RISK

For financial markets, this week really doesn’t get going until Wednesday, when both the calendar and trading volume start to return to full strength, so we’ll try to keep this weekly preview brief.… Continue reading