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After last week’s carnage, we foresee an Asian recovery this week. Hang Seng is now trading at 29’706 points (+0.70%), Shanghai Composite at 3’145 (+0.78%), Kospi at 2’385 (+0.91%) and S&P/ASX 200 at 5’820 (-0.30%), Japan’s market is closed for a holiday...
Last week’s volatility in equities spurred investors into safe-haven US treasuries, pushing the 10-yr yield from 2.8% down to 2.6%. This Wednesday’s US consumer price data, we believe, will come in lower than expected, thanks to easing energy prices...
The main US stock indexes today continued their recovery. By the beginning of today's European session, the US stock indexes about half recovered losses suffered last week, which became the worst in the past few years. The recovery began on Friday evening...
The worst performer last Friday was the British pound which came under increased selling pressure, dropping to a low of 1.3764. The reason for the sharp sell-off in the GBP/USD was not only the U.S...
Quotes of the New Zealand Dollar to US Dollar NZD/USD close the trading week near the area of 0.7248. The pair continues to move within the framework of growth. At the moment, we should expect a test of the resistance area near the level of 0...
Currency pair Australian Dollar to US Dollar AUD/USD completes trading week near the area of 0.7804. The pair continues to move within the framework of a bearish correction. At the moment, we should expect a test of the support level near the 0...
The pair Canadian Dollar to US Dollar USD/CAD closes the trading week near the level of 1.2612. At the moment, we should expect an attempt to test the support area near the level of 1.2450 and continue the growth of quotations with a target above 1.3120...
Currency pair USD/CHF Dollar Franc completes trading week near the level of 0.9399. At this point, we should expect an attempt to test the upper limit of the descending channel near the level of 0.9450 and continue the fall of the pair with a target below 0.9120...
Quotes of the pair USD/JPY US Dollar to Japanese Yen close the trading week near the area of 108.60. At this point, we should expect an attempt to test the upper boundary of the bearish channel near the area of 109.00 and continue the fall of the pair into the area below the level of 106.00...
Currency pair Pound Dollar GBP/USD closes the trading week near the area of 1.3780. The pair continues to move within the bullish channel. At this point, we should expect an attempt to test the lower border of the channel near the 1...
Currency pair Euro Dollar EUR/USD completes the trading week near the area of 1.2233. At the moment, we should expect an attempt to test the level of 1.2350 and fall to the lower limit of the channel near the level of 1.1980. Where again we can expect the continuation of growth...
EURUSD: The pair closed lower the past week leaving risk of more weakness on the cards. We faces price hesitation with a move higher in the new week. On the upside, resistance comes in at 1.2300 level with a cut through here opening the door for more upside towards the 1.2350 level...
We make up a weekly medium-term trade list based on CFTC reports and technical analysis...
Is Triple Exponential Moving Average a good indicator? I have written a blog post in which I have discussed how to trade with TEMA. Before you use an indicator in your trading strategy, it is always a good thing to study it. Study it means you should know how the indicator is calculated...
First, a review of last week’s forecast: - EUR/USD. The publication of positive data on the labor market in the USA (NFP grew by 25%) on February 2, triggered a panic on American stock exchanges...
Hi guys, could please someone fix this error. I am trying to use this code, but it contains an error. It said "Illegal switch expression type" Could someone please help me fixing this. Thanks in advance double iM =MarketInfo(Symbol(),MODE_PROFITCALCMODE...
09.02.2018 Dear all, We are glad to inform you that Real Trade started accepting Ethereum, the world’s second-biggest cryptocurrency, as a deposit/withdrawal method...
Using the services of brokers for many years, I, like other traders, repeatedly got into a situation when, at the time of market volatility, the price rolled back just before the stop loss or did not reach the take profit just a few points, which is why the funds on the account abruptly decreased...
https://www.mql5.com/en/code/19525 -- 3MACross EA.mq5 *Good Further Testing Required* https://www.mql5.com/en/code/287 - expert_abc_ws_mfi.mq5 *Good Minimum Drowdown but minimum profit*...
Unlike the Fed, other major global central banks are in no hurry to tighten their monetary policies...