Tag Archive: USD

Lessons for Coming Week Part 1: Jobs, The Rally, Taper – Updates, Ramifications, Actionable Ideas

Lessons for the coming week Part 1: Lessons from the US The following is a partial summary of conclusions from our weekly fxempire.com analysts’ meeting about the weekly outlook for global equities, currencies, and commodity… Continue reading

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 2014 EXPLOSION: EU MONEY SUPPLY OR EU ITSELF?

EU: Print Free Or Die In 2014?  Here’s Why, Its Options, And How To Protect Yourself And Profit   The following is a partial summary of conclusions from our weekly fxempire.com  analysts’ meeting in which… Continue reading

ONE CHART SHOWS HOW EU’S OWN BANKS A FATAL THREAT 2014: Part 2

Lessons, Conclusions, What To Do   The following is Part 2 of the article by the same title, in which we summarize conclusions and possible ways to act on them. It’s a partial… Continue reading

ONE CHART SHOWS HOW EU’S OWN BANKS A FATAL THREAT 2014: Part 1

Slow Death By EU Commercial Credit Deprivation Or Sudden Death By Systemic Bank Collapse? Explanation, Implied Risks, Ways To Protect Yourself And Profit   The following is a partial summary of conclusions from… 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