Tag Archive: THE SENSIBLE GUIDE TO FOREX

EURUSD WEEKLY OUTLOOK: STILL TIME TO RIDE THIS RALLY?

Both the intermediate term uptrend and longer term downtrend remain intact. Both trends reflect the fundamentals behind them Here’s what’s driving the pair. PRIMARY FUNDAMENTAL DRIVERS OF THE CURRENT RALLY General Risk Trends:… Continue reading

Last Week’s Lessons For This Week: Does Rally Still Has Life?

What’s Driving It, What Will Stop It?     Below is:   A recap of each day’s prime market movers Our conclusions about: What’s driving this rally Its obstacles What’s likely to sustain… Continue reading

This Week’s Top Market Movers And Advice From Your Central Banker

The key things to watch this week, and an important message from your local central bank chief regarding your local currency… FUNDAMENTAL MARKET DRIVERS 1-7. Prior Week’s Mix Of Bullish And Bearish Market… Continue reading

Prior Week’s Lessons For This Week: Prime Movers And Threats

Hope Is Trumping Data, The EU Is Recovering, So Why Does Germany Suddenly Want Its Gold Back? Here’s a: Summary of the bullish and bearish forces confronting markets Daily breakdown of top market… 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

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 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

EURUSD WEEKLY OUTLOOK: BULLISH MOMENTUM VERSUS NEGATIVE FUNDAMENTALS

    Here’s a quick rundown of the EURUSD’s prospects over the coming weeks as of the December 30, 2012. FISCAL CLIFF DEADLOCK: NEGATIVE FOR THE EURUSD   The ongoing deadlock hit Western… 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