Tag Archive: GSG

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 →

December’s Real Top Event – By Far – Happens This Week: Part 1

The EU’s SRM banking pact to be finalized December 18: new beginning, or beginning of the end? Part 1 of 3: Introduction, Background, Central Themes (if you haven’t been paying full attention)  … Continue reading →

December’s Real Top Event – By Far – Happens This Week: Part 2

The EU’s SRM banking pact to be finalized December 18: new beginning, or beginning of the end? Part 2 of 3: Key terms of the SRM deal: Summary, Problems, Dangers   In our… Continue reading →

December’s Real Top Event – By Far – Happens This Week: Part 3

The EU’s SRM banking pact to be finalized December 18: new beginning, or beginning of the end? Part 3 of 3: Conclusions: A Giant Step…To Nowhere In our weekly fxempire.com  analysts’ meeting, in which we… Continue reading →

Global Markets Wrap: Why Markets Feared, Then Embraced, US Jobs Data

The following is a partial summary of the conclusions from the fxempire.com  weekly analysts’ meeting in which we share thoughts about what’s driving major global asset markets. The focus is on global stock indexes as… Continue reading →

Coming Weeks’ Lessons: Understanding Markets’ “Schizophrenic” Response To US Jobs Data

Coming Week Lessons Part 1: Making sense of seemingly contradictory market behavior The following is a partial summary of the conclusions from the fxempire.com  weekly analysts’ meeting in which we share thoughts about what’s driving… Continue reading →

Lessons For The Coming Week II: 6 Ominous Developments, 2 USD Erosion Signs

Part 2 of our lessons for the coming week The following is a partial summary of the conclusions from the fxempire.com  weekly analysts’ meeting in which we share thoughts about what’s driving major global asset… Continue reading →

Lessons For The Coming Week: The 7 Things To Watch

A new threat to the rally beyond fears of a fed taper, high asset prices, or the EU The following is a partial summary of conclusions from our weekly fxempire.com  analysts’ meeting in which we… Continue reading →

Weekly Global Market Wrap 2 Minute Drill: WEEK ENDING NOVEMBER 29, 2013

The following is a partial summary of the conclusions from the fxempire.com  weekly analysts’ end of week meeting in which we share thoughts and conclusions about the common drivers of major global asset markets: global… Continue reading →