EUR/USD continues to creep higher in a correction on the daily charts Bulls eye a 50% mean reversion but failures will bring the lows back into focus with prospects of a downside extension of the broader bear trend. As per the North American analysis, the euro is on the verge of testing critical resistances across the time frames and
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AUDUSD falls to lowest level since 2020 pandemic The AUDUSD has traded to a new 2022 low of 0.6669 and in the process has moved to the lowest level since end of May/early June 2020. The move took the price into a swing area going back to before the pandemic in 2019 and after the
Headlines: Markets: USD leads, NZD lags on the day European equities lower; S&P 500 futures -1.0% US 10-year yields up 5.5 bps to 3.502% Gold down 0.8% to $1,661.53 WTI crude down 2.3% to $82.82 Bitcoin down 5.4% to $18,680 It was a quiet session in Europe today as UK markets are closed in observance
Gold prices declined by Rs 303 to Rs 49,571 per 10 grams in the national capital on Monday amid weak global cues and rupee appreciation, according to HDFC Securities. In the previous trade, the yellow metal had closed at Rs 49,874 per 10 grams. Silver also dipped by Rs 197 to Rs 57,090 per kilogram
Dollar is trading with a slightly firmer tone in quiet Asian session. But overall, most major pairs and crosses are stuck inside Friday’s range. Trading would likely remain subdued with Japan and UK on holiday, and the calendar is light. Nevertheless, the week ahead is ultra busy with four central bank meetings and some important
Tesla stock continues to outperform as it closes more or less flat on Friday. Equity indices close lower by 0.7% for S&P 500 and 0.5% for the Nasdaq. Tesla delivery times continue to fall for most models in China. Tesla (TSLA) stock continues its relative outperformance as the stock closed more or less flat on Friday
EURUSD rebounds off of support. Parity & other targets loom The EURUSD is extending to the upside and looks toward the 200 hour MA at 1.00091 level. Helping is a dip in US yields. The 2 year is off yet another high at 3.924% at 3.89%. The 10 year is now lower on the day
US President Biden is speaking in an interview on US TV, 60 minutes. We are going to get control of inflation I am more optimistic than I have been in a long time Ukraine is not losing the war, is making gains in certain areaws US forces would defend Taiwan in the event of a
The S&P 500 and the Nasdaq Composite index suffered their worst weekly performance since June as investors remain concerned that the Federal Reserve will have to continue with its aggressive monetary policy to curb inflation and that could lead to a recession in the United States. Bitcoin (BTC) remains closely correlated to the S&P 500
Despite prices falling back to levels seen before Russia’s invasion of Ukraine, crude oil remains volatile due to ongoing uncertain market fundamentals. The G7 leaders proposed a price cap on Russian oil with a view to keeping down Russian oil revenue. A possible decline in non-OPEC supply and Europe’s ongoing energy crisis continues to keep
US dollar bears are moving in at the start of the week. The bulls will seek a break of the M-formation’s tops with the Fed eyed. The US dollar will be a major focus in markets this week in the countdown to the Federal Reserve. The greenback attempted a breakout to the upside but failed to pick
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USDJPY below the 100/200 hour MAs The USDJPY has been trading above and below the 100/200 hour MAs today, with the most recent swing being to the downside. The MAs are converged at 143.29. In the early hours of the New York session, the price extended briefly above that level up to 143.34, but could
A Goldman Sachs note from later Friday (info via Reuters) has analysts at the bank making more pessimistic forecasts ahead due to a more aggressive Federal Reserve tightening policy through the rest of this year: “higher rates path combined with recent tightening in financial conditions implies a somewhat worse outlook for growth and employment next
From a macro perspective, hawkish comments from Fed Chair and other US Fed officials at the Jackson Hole meeting have been keeping upside limited in base metals. The recent inflation data unexpectedly beat market expectations and renewed fears that the markets could witness a hefty rate hike in September has also been pressurizing markets. At
Breakout or Fakeout? There are reasons to see the USD moving even higher after 4 currencies made new multi-year lows vs the USD last week. Can the USD buying momentum continue in the new trading week?. In this video, Greg Michalowski, talks of the breaks and why they occurred and then looks at the technicals