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“Godfather of AI” Geoffrey Hinton Resigned From Google And Warned Of AI’s Threat

Geoffrey Hinton, who is famously known as “The Godfather of AI,” resigned from his part-time role at Google and cautioned the world about the potential danger of AI. Geoffrey Hinton, also known as “The Godfather of AI,” resigned from his part-time position at Google and warned the world about the potential threat …

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Euro Surges on Upward German Growth Forecast, ECB Hawkish Tone

The euro has received a boost from a combination of hawkish guidance from the ECB and positive economic data in the region The Euro stole the spotlight as it surged to a record high following Germany’s upward revision of its economic growth forecast for 2023. The move is reinforced by positive indicators, …

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China’s reopening :  Is the Chinese Equity Market Warming Up?

Starting Sunday, China no longer requires quarantine for inbound travellers. No more testing requirements to board trains, planes, ferries or shuttle buses for domestic travel. While anyone wanting to enter the country will only need a 48-hour negative Covid test result. Officials estimate that the number of trips over the Chinese New …

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PU Prime再次在International Business Awards上荣获 “欧洲最佳移动端交易App” 及 “欧洲最佳合作伙伴计划”

2022年6月21日 – 继2021年在中东和北非地区获得多个奖项后,在线经纪商PU Prime宣布,在2022年国际商业奖(International Business Awards)上再次荣获了 “欧洲年度最佳移动端交易App(Best Mobile Trading App Europe 2022)” 及 “欧洲年度最佳合作伙伴计划(Best Affiliate Partnership Program Europe 2022)” 奖项。 国际商业奖是由总部设在迪拜的国际商业杂志组织(International Business Magazine)颁发的,该奖项是对国际上商界和金融界成员获得最佳成就的认可。被提名者都要经过行业专家和各小组领导公正、详尽的层层筛选。 凭借着最新推出的交易软件,PU Prime已经准备好在竞争激烈的全球经纪市场上拔得头筹。该App以界面简洁直观、交易功能强大为优点,让客户可以随时随地进行各种交易操作。此外,PU Prime还提供业内收入最为可观的联盟计划之一,该项目拥有顶级服务及一套强大的营销资源。 因此,PU Prime很荣幸多次获得行业的认可。该公司认为,该奖项是其努力改善提升平台及客户体验的真实反映,并承诺在未来也会不断努力争取获得最好的成绩。 最重要的是,PU Prime还要对各位客户表示衷心的感谢,没有他们的信任与支持,PU Prime就无法实现及获得如此殊荣! 关于PU Prime PU Prime成立于2015年,是一家屡获殊荣的在线经济公司,服务于大洋洲、欧洲、亚洲、非洲和北美洲的120多个国家及地区。 联系我们: 电话:+248 4671 948 电子邮箱:[email protected] 公司地址:102 on the Ground Floor of House of Francis, Ile Du Port, …

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Signs You Are Ready To Start Live Trading

Are you tired of just watching from the sidelines? Dreaming of taking your trading skills to the next level and diving into the exciting world of live trading? It’s a leap that many traders aspire to make, but it’s crucial to determine if you are truly ready before making that transition. Live …

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How To Choose The Best CFD Broker?

Choosing the right CFD broker is crucial for successful trading. With so many options available, it can be overwhelming to make a decision. How do you navigate the world of CFD trading platforms and find the one that suits your needs? In this article, we will guide you through essential tips on …

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A Comprehensive Guide Of MT4: What Is MT4?

Key Takeaways * MT4 is a widely utilized electronic trading platform in the realm of online retail foreign exchange (forex) speculation.  * MT4 offers a user-friendly interface and powerful features for traders of all levels. * The platform is compatible with various devices, including Windows, Mac, iOS, and Android. * Traders can …

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A Comprehensive Guide Of MT4: What Is MT4?

Key Takeaways * MT4 is a widely utilized electronic trading platform in the realm of online retail foreign exchange (forex) speculation.  * MT4 offers a user-friendly interface and powerful features for traders of all levels. * The platform is compatible with various devices, including Windows, Mac, iOS, and Android. * Traders can …

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CPI公布数据前夕,美元持平

市场须知 在关键经济数据前夕,特别是美国通胀和零售销售数据的预期下,美元近期持续扯平。投资者正密切关注1月份的消费者价格指数(CPI),预计同比增长2.90%,比上月略有下降。美国股市从历史高点小幅回落,投资者在关键经济数据发布前进行获利了结,美国通胀数据对美联储(fed)决策的潜在影响仍存在不确定性。在能源领域,由于全球供应担忧和地区紧张局势(包括红海航运受到威胁以及围绕以色列-哈马斯停火谈判的地缘政治复杂性),油价继续上涨。 市场看点 当前对 3月 20 日美联储利率决定的加息押注: Source: CME Fedwatch Tool 0个基点 (82%) 对比 -25 个基点 (18%)  市场概括 财经日历 (MT4 System Time) Source: MQL5 市场走势 美元指数, H4 由于投资者等待美国通胀和零售销售的关键数据,寻找美联储货币政策可能转变的线索,美元保持巩固立场。对1月份消费者价格指数(CPI)的预期,经济学家预计同比上涨2.90%,低于上月的3.4%。建议投资者密切关注最新经济数据,寻找微妙的交易信号。 美元指数持平,目前正在测试支撑位。然而,MACD指标显示看跌势头减弱,而相对强弱指数在54,暗示该指数可能会走高,因为相对强弱指数保持在中线上方。 阻力位:104.65,105.70 支撑位:103.85,102.15 黄金/美元,H4 黄金价格仍处于盘整状态,在各个水平上得到支撑,因为投资者急切地等待进一步的最新美国经济数据,尤其是即将发布的美国CPI数据。该数据定于本周晚些时候公布,预计将为美联储(fed)可能的利率决定提供洞见,促使投资者持续关注该事项来获得更多交易信号。 黄金价格从阻力位回撤后开始走低。MACD指标显示看跌势头增强,而相对强弱指数在41,暗示由于相对强弱指数仍低于中线,该商品可能会向支撑位延伸跌势。 阻力位:2035.00,2055.00 支撑位:2015.00,2000.00 英镑/美元,H4 尽管缺乏来自英国的有影响力的催化剂,英镑仍处于持有状态。英国央行(Bank of England)行长贝利(Andrew Bailey)暗示,从长期来看,英国经济可能出现好转,但他也强调,由于生产率和投资趋势低迷,人们应保持谨慎。为了衡量英国经济复苏的进展,投资者被敦促密切关注即将发布的数据,以获取准确的交易信号。 在突破之前的阻力位之后,英镑兑美元交易走高。MACD指标显示看涨势头增强,而相对强弱指数在55,暗示该货币对可能延续涨势,因为相对强弱指数保持在中线上方。 阻力位:1.2710,1.2785 支撑位:1.2610,1.2530 欧元/美元,H4 由于欧元区缺乏催化剂,欧元/美元货币对的动态受到关键的美国通胀报告发布前美元反弹的影响。欧元区缺乏实质性的市场驱动因素,放大了美元走势对该货币对的影响,促使投资者密切关注事态发展,期待更清晰的交易信号。 欧元兑美元交易走高。MACD指标显示看涨势头增强,而相对强弱指数在56,暗示该货币对可能延续涨势,因为相对强弱指数保持在中线上方。 阻力位:1.0830,1.0925 支撑位:1.0745,1.0665 道指, H4 由于投资者在关键经济数据发布前进行获利回吐,美国股市从历史高点略有回落。不确定性笼罩着美国通胀数据的影响,这可能影响美联储(fed)的决策,进而影响美国股市的吸引力。近几个月来,专注于人工智能的大型股引领了华尔街的看涨趋势。 …

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PU Prime Account Opening and Registration Process Notice

Dear Valued Client, In regard to the recent PU Prime system upgrade, we are fully aware of its implication on the account opening and registration process. We are pleased to inform that all the systems and processes had been restored and fully functional. Hence, we encourage our clients to login into client …

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了解交易风险管理的基础知识

Content: 了解交易风险管理的基础知识评估和识别交易风险将交易心理风险降至最低设定交易目标和风险承受能力利用订单类型进行风险管理交易中的其他风险管理策略监控和调整风险管理策略注意止损以及保证金如何影响您的交易交易中的短期与长期风险管理 了解“交易风险管理”的基础知识 风险管理是成功交易的核心。它是一个识别、评估和减轻可能影响交易和财务结果的潜在风险的过程。交易中的风险管理包括各种策略和技术,其目的是旨在保护资本、减少市场波动风险并优化收益。通过了解和实施有效的“交易风险管理”策略,交易者可以更有信心地应对金融市场的不确定性。 在本文中,我们将深入探讨在金融市场交易时可能会面临的各种风险,以及如何最大限度地降低和管理这些风险的各种方法,以提高有利交易结果的概率。 评估和识别交易风险 评估和识别交易风险对于有效管理交易风险和保障交易资本至关重要。交易者必须保持警惕,评估可能会影响其交易活动的各类风险。交易时需要考虑多种类型的风险,每种风险都有独特的考虑因素,需要加以解决,以下是差价合约交易者最常见的一些风险类型。 市场风险 市场风险可能是交易者最常考虑的风险之一,是指由于市场价格变化或影响整个市场的因素而造成损失,它包括股票、债券、大宗商品、外汇或其他金融工具的不利价格变动风险。经济事件、地缘政治发展、利率变化或供需失衡等因素都可能导致市场风险的出现,也可能会导致市场波动,如果管理不当,可能会造成巨大损失。 作为一名活跃的交易者,进行全面的市场研究并随时了解相关新闻和趋势非常重要。例如,交易者常用的一种方法是跟踪重要经济或金融数据的发布时间。在交易时会仔细查看经济日历,其中显示了各国发布宏观经济数据的时间。 数据公布的另一个例子是上市公司的财报日期,这是公司每季度公布其收入、支出、盈利能力和其他关键财务指标详情的日期。 财报和宏观经济数据的发布都会对相关资产造成相当大的波动,这就需要采取更严格的风险管理措施。 市场风险也可能来自系统性问题–如银行倒闭或经济衰退,这会导致市场恐慌情绪开始蔓延,从而引发剧烈波动。因此,了解即将发生的此类情况并谨慎交易非常重要。 流动性风险 流动性风险是指无法以理想的价格快速买入或卖出资产的风险。当某一特定交易产品的交易量或市场深度不足时,就会出现这种风险。流动性不足的市场可能导致滑点,即执行价格与预期价格不同,从而可能造成损失或退出头寸时遇到困难。 降低流动性风险有多种方法:最直接的方法是交易高交易量的产品,如欧元/美元等主要货币对或者黄金;另一种方法是在流动性较高的时段进行交易,如华尔街开市时,或者就货币对而言,在纽约和伦敦市场交汇的时段进行交易。流动性风险也可能出现在操作过程中,比如您的经纪商无法获得足够的流动性,或者无法足够快地处理您的订单。在 PU Prime 这样与大型银行等一级流动性提供商关系密切的成熟经纪商进行交易,就可以降低这种风险。 运营风险 运营风险是包括因内部流程、人员、系统或外部事件不当或失效而造成损失的风险,它包括与交易执行、结算、技术故障、合规、欺诈和人为错误相关的风险。对于交易者来说,这可能由于经纪商端的技术故障,如伺服器中断或执行缓慢。在用户端,这可能是一切从网际网路中断到人为错误(这时有发生!),例如输入错误的订单价格。 运营风险最难预见的,但可以通过一些简单的步骤将其降到最低,比如选择一个成熟的经纪商,确保您在稳定的网络连接下进行交易,甚至您可以只在精神饱满的时候进行交易。 个人风险 这种风险来自交易者自身,通常是心理层面的。交易中的心理风险是指交易者面临的情绪和认知挑战,这些挑战会影响他们的决策、交易表现和整体健康。这些风险来自交易者在交易过程中经历的心理偏差、压力和情绪。 个人风险也可能源于交易者的个人情况,包括个人财务、时间可用性甚至认知限制等因素。最重要的在于资金并不是用于交易的唯一资源——了解这一点可以帮助交易者更经常地做出最佳交易决策。 在所有类型的风险中,个人风险是交易者最能控制的——这就是为什么了解交易心理不仅有助于交易者理解自己的决策,还能为市场走势提供宝贵的洞察力。 将交易心理风险降至最低:了解情绪和纪律 管理情绪偏差,优化交易风险管理 管理情绪偏差对于交易者优化风险管理和交易心理,从而对做出客观、明智的交易决策至关重要。控制情绪的能力是关键,因为恐惧、贪婪和过度自信等情绪偏差都会影响判断,从而导致偏离交易计划的冲动行为。认识并有效管理这些偏差对于保持纪律性和取得长期交易成功都至关重要。以下是一些相关技巧: Tip #1:在风险管理中保持纪律性 在交易中,保持纪律是管理情绪偏差的基本方面。交易者应坚持自己的交易计划,其中包括预先确定的进出场点、仓位大小和风险管理策略。通过遵守纪律,交易者可以减少因冲动情绪反应而造成的影响,并始终专注于自己的交易目标。进行风险管理,如设置止损单和遵守预定的风险限额,有助于保持严谨的心态,并防止损失过大。 Tip #2:使用交易日志提高情绪意识 撰写交易日志是管理情绪偏差的有力工具。通过认真记录交易,包括每项决策背后的理由以及交易过程中的情绪体验,交易者可以对自己的行为模式获得宝贵的洞察力。定期回顾交易日志有助于识别反复出现的情绪偏差,并提供自我反省和改进的机会。它让交易者能够客观地分析自己的决策,识别情绪反应的模式,从而做出调整,使未来的交易更加明智。 Tip #3:寻求外部视角,实现平衡决策 寻求外部视角可以提供有价值的见解,并有助于抵消情感偏见。与交易导师接触、加入交易社区或参加论坛,可以让交易者分享经验并获得不同的观点。从其他有交易经验的人那里获得反馈,可以为交易决策提供新的视角,并有助于减轻个人情绪偏见的影响。另外同样重要的是要记住,交易社区可能会导致群体思维和同伴压力,从而对交易产生负面影响。因此,保持清醒客观的头脑非常重要。 Tip #4:练习正念以控制情绪 除了外部策略,练习正念和自我意识技巧也有助于管理情绪和情绪控制。这包括深呼吸练习、冥想和视觉化等技巧。培养自我意识可以让交易者认识并承认自己的情绪,而不会让情绪左右自己的交易决策。通过保持当下的状态并专注于手头的任务,交易者可以减少冲动反应,做出更理性、更客观的交易选择。 总之,管理情绪偏差对于优化交易风险管理和交易心理至关重要。通过认识到情绪偏差对决策的影响,并采用一些技巧,如保持纪律性、使用交易日志进行情绪感知、寻求外部视角以及练习正念等,交易者可以加强自己对情绪的控制。 设定交易目标和风险承受能力 设定交易目标和确定风险承受能力是在金融市场取得成功的关键步骤。通过将个人风险承受能力与交易策略和目标相结合,交易者可以有效地管理风险敞口并做出明智的决策。 确定个人风险承受能力对于交易者评估自己在交易活动中可以承受的风险水平至关重要。评估财务状况、情感气质和个人偏好等因素有助于交易者了解自己的风险承受能力,这种自我评估可确保交易者避免过度暴露于风险之中,以免造成过度压力或影响其做出理性决策的能力。 一旦确定了风险承受能力,将其与交易策略和目标相结合就变得非常重要。保守型交易者可能会专注于风险较低但收益稳定的策略;而激进型交易者则可能乐于承担更高的风险,以追求潜在的更大利润,同时在心理上做好承受更大损失的准备,不会被情绪所左右。 制定切实可行的交易目标是交易风险管理的另一个重要方面。目标应具体、可衡量、有时限,以提供明确的方向感,并能适当跟踪进展情况。通过制定切合实际的目标,交易者可以避免不切实际的期望,以免在市场波动期间做出冲动的决策或产生挫败感。 为了有效管理交易风险和实现交易目标,交易者必须持续监控和重新评估自己的风险承受能力。由于市场条件和个人情况可能会发生变化,因此必须定期审查并相应调整风险承受能力和目标。定期的自我反思和评估有助于交易者与风险管理战略保持一致,并适应不断变化的市场动态。 了解您需要了解的差价合约交易知识 点此开始阅读 利用订单类型进行风险管理 订单类型是开始风险管理的最可行方法之一,这些是经纪商平台提供的工具,可在某些预定条件下触发开仓和平仓。下面是一些您可能需要了解的订单类型: …

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4 Indices Trading Strategies You Can Consider

The Popularity of Indices Trading Strategies Trading indices is a popular way for investors and traders to gain exposure to the overall performance of a market or specific sector. Indices track the performance of a group of stocks, providing a convenient and cost-effective way to invest in a basket of stocks rather …

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What Is A Breakout Trading Strategy

Breakout trading strategy has gained significant popularity among traders seeking to capitalize on powerful price movements in financial markets. By identifying key breakout points, traders can ride the wave of momentum and potentially increase their chances of success. In this comprehensive guide, we will explore the ins and outs of a breakout …

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How To Identify Market Trends For Trend Trading Strategies

The trend trading strategy is a popular strategy employed by many traders seeking to capitalise on sustained price movements in the financial markets. By learning how to identify market trends and adhering to these trends, traders aim to ride the wave of momentum and potentially generate profitable trades. In this article, we …

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What Is A Range Trading Strategy

Range trading is a popular strategy utilized by financial traders to profit from price fluctuations within a defined range. By identifying key support and resistance levels, traders can strategically enter and exit trades, capitalizing on the market’s oscillations. In this comprehensive guide, we will delve into the intricacies of range trading. What …

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What Are The Best Day Trading Strategies For Beginners

Day trading, the art of buying and selling financial instruments within a single trading day, offers fast opportunities and exhilarating market participation. However, navigating the volatile and fast-paced nature of day trading requires a well-defined day trading strategy. In this guide, we will explore the best day trading strategies that can help …

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Trading Strategies: Mastering The Basics For Beginner Traders

Are you a beginner trader eager to dive into the world of trading strategies? This comprehensive guide is here to equip you with the essential knowledge needed to navigate the exciting yet challenging realm of trading. Understanding various trading strategies is crucial for achieving success and maximizing profits. In this ultimate guide, …

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Best Scalping Strategies For Beginners

In the dynamic world of financial markets, traders employ various strategies to capitalize on market opportunities. One such strategy is scalping, a technique that aims to exploit short-term price fluctuations to generate quick profits. In this article, we delve into the intricacies of the scalping strategy, its key principles, and considerations for …

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What Are The Risk Differences Between Indices and Stock Trading?

Indices Trading Is Different From Stock Trading When it comes to trading, two popular options are stocks and indices. While they may seem similar at first glance, there are significant differences between the two that investors should be aware of. In this article, we will explore the factors that can affect the …

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The Main Market Categories

Bullion Bullion refers to the physical gold and silver of high purity. The demand for bullion isn’t driven only by their practical use, but also by their role as investments and a store of value. Paper currencies come with all sorts of problems, like the risk of inflation in times of political …

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The Basics Of Fundamental Analysis

When formulating a trading strategy, traders employ various tools that can be broadly classified into two types of analysis methods: technical analysis and fundamental analysis. Although there are differing opinions on each approach, there is no definitive answer as to which trading strategy is “superior.” Each analysis method has its own advantages, …

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The Basics Of Technical Analysis

In the fast-paced world of the financial markets, understanding the dynamics of price movements is crucial for traders and investors. This is where technical analysis comes into play. By examining historical market data, technical analysis empowers individuals to decipher patterns and trends, enabling them to make informed decisions about buying and selling …

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Technical Analysis: Chart Patterns

Traders believe that the underlying theory behind chart patterns is that various shapes, or patterns, repeatedly show up on charts, and highlight various trends that can present trading opportunities. The most common chart patterns are: Symmetrical TrianglesAscending TrianglesDescending TrianglesDouble TopDouble BottomHead and ShouldersReverse Head and Shoulders Symmetrical Triangles A neutral continuation pattern …

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The Psychology of Trading

When trading, the two most common and dangerous emotions are fear and greed. Fear and greed can ruin even the best trading strategies. A single moment of fear or greed and lose your months of hard-earned profits. Having discipline and keeping your emotions under control is an invaluable skill in trading. Greed …

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How To Invest In And Trade Gold

Gold has been used as a store of value for thousands of years. Even today, it remains a highly liquid asset, with hundreds of billions worth traded every day. Content: What Is Gold?What Affects The Price Of Gold? Why Invest In And Trade Gold?How To Start Trading Gold?How To Read And Analyse …

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What Is A Range Trading Strategy

Range trading is a popular strategy utilized by financial traders to profit from price fluctuations within a defined range. By identifying key support and resistance levels, traders can strategically enter and exit trades, capitalizing on the market’s oscillations. In this comprehensive guide, we will delve into the intricacies of range trading. What …

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美国股市在CPI公布前走高

市场须知 美国股市昨天迎来复苏,有效结束了连续四天的下跌势头。值得注意的是,沃伦·巴菲特 (Warren Buffet) 旗下的伯克希尔·哈撒韦公司 (Berkshire Hathaway) 达到了前所未有的巅峰,而亚马逊公司 (Amazon Inc.) 则在一周内实现了超过 10% 的令人印象深刻的上涨。与此同时,美元维持看涨立场,在最近一晚的交易时段上涨0.2%。相反,黄金领域则经历了下跌趋势,价格跌破 1940 美元关口。其他方面,油价稳定在 82 美元上方,在沙特阿拉伯和俄罗斯石油供应限制的背景下获得支撑。这些深思熟虑的行动掩盖了全球经济悲观情绪所带来的持续担忧。在其他地方,欧元交易者发现自己处于预期的边缘,他们急切地等待定于今天公布的德国消费者物价指数,以衡量欧元价格走势。 市场看点 当前对 7 月 26 日美联储利率决定的加息押注: Source: CME Fedwatch Tool 0个基点 (0.2%) 对比 25 个基点 (99。8%)   市场概括 财经日历 市场走势 美元指数, H4 受美联储官员一系列鹰派声明的提振,美元指数强劲上扬。美联储理事米歇尔•鲍曼(Michelle Bowman)明确表达了她对进一步加息的预期,以抑制通胀,实现美联储梦寐以求的2%的目标。纽约联邦储备银行行长威廉姆斯(John C. Williams)在接受采访时也附和了她的观点,强调了维持限制性立场的必要性。 美元指数从支撑位反弹后,正在走高。MACD指标显示看跌动能减弱,而相对强弱指数在51,暗示该指数可能延续升势至阻力位,因相对强弱指数保持在中线上方。 阻力位:102.60,103.40 支撑位:101.95,101.55 黄金/美元,H4 由于美元走强,黄金价格下跌。美联储(fed)官员坚定的鹰派论调继续削弱这种避险资产的吸引力。 黄金价格正在走低,目前正在测试支撑位。MACD指标显示看涨势头减弱,而相对强弱指数在42,暗示该商品可能在突破后延续跌势,因相对强弱指数仍低于中线。 阻力位:1950.00,1980.00 支撑位:1930.00,1910.00 欧元/美元, H4 …

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美国信用评级下调,黄金上涨

市场须知 美国信用评级机构惠誉将美国国债评级从原始 AAA 下调至 AA+。对美元的影响还有待观察,但这一消息立即影响了金价,金价迅速飙升近0.3%。在亚洲市场,评级下调导致缺口向下,市场情绪表明美国股市今天晚些时候可能也会效仿。在另一个情况下,随着澳大利亚储备银行(RBA)本月再次暂停加息,澳元大幅下跌。这一决定受到通胀数据的影响,该数据显示该国通胀有放缓的迹象。在其他地方,由于美国原油库存将大幅下降的猜测,价格继续看涨。 市场看点 当前对 7 月 26 日美联储利率决定的加息押注: Source: CME Fedwatch Tool 0个基点 (0.2%) 对比 25 个基点 (99。8%)   市场概括 财经日历 市场走势 美元指数, H4 由于经济前景悲观,评级将美国信用评级从AAA下调至AA,美国债券市场经历了巨大的动荡,美元下挫。该历史性的转变至少可以追溯到1994年,反映出评级者对美国未来财政状况恶化、政府债务负担不断增加和治理能力受损的担忧。此次评级下调放大了市场波动性,并引发人们对其对债券收益率和息差的潜在影响产生疑虑。目前而言,建议投资者继续密切关注美国经济数据的进一步发展,以获取更多的交易信号。 美元指数从阻力位回撤后走低。MACD指标显示看涨动能减弱,而相对强弱指数(RSI)在57,暗示该指数可能将跌势扩大至支撑位,因相对强弱指数从超买区域大幅回落。 阻力位:102.60,103.45 支撑位:102.05,101.45 黄金/美元,H4 在美国信用评级被下调后,不确定性加剧,投资者寻求避险资产,黄金市场迅速反弹。惠誉评级(Fitch Ratings)历史性地将美国信用评级从AAA下调至AA,引发了美国债券市场的剧烈动荡。这种前所未有的转变,伴随着对财政恶化、政府债务负担上升和治理侵蚀的担忧,放大了波动性,并引发了对债券收益率和利差的质疑。 黄金价格低位反弹,正在走高。MACD指标显示看跌动能减弱,而相对强弱指数在46,暗示自相对强弱指数从超卖区域反弹以来,大宗商品可能延续涨势。 阻力位:1970.00,1985.00 支撑位:1945.00,1930.00 欧元/美元, H4 美元兑大多数货币表现出强劲的看涨趋势。令人惊讶的是,尽管美国就业数据公布的数据弱于预期,但美元仅经历了短暂的下跌,然后就迅速收复失地。与此同时,著名信用评级机构惠誉下调了美国国债评级。然而,这一事态发展对美元的影响尚未显现,市场参与者热切预期当天晚些时候可能出现的影响。 欧元/美元处于看跌势头,但昨天已成功反弹至上行支撑线上方。然而,RSI 继续徘徊在较低区域,而 MACD 则在零线下方持平,表明该货币对的看跌势头完好无损。 阻力位:1.1092, 1.1150 支撑位: 1.0927, 1.0845 澳币/美元,H4 由于澳大利亚储备银行(RBA)在8月份的货币政策会议上选择将利率维持在4.10%,澳元面临大幅下跌。澳大利亚央行行长Philip Lowe强调,考虑到疲软的家庭消费增长和通胀在预测期内逐渐回归到2-3%的目标范围,需要更多的时间来评估货币政策。尽管未来的货币决策仍将取决于数据,但如果通胀数据意外飙升,澳洲央行仍然有能会采取紧缩措施。市场密切关注这些动向,以寻找澳元走势的进一步线索。 澳元正在走低,目前正在测试支撑位。然而,MACD指标显示看跌势头正在减弱,而相对强弱指数在32,表明该货币对可能进入超卖区域。 …

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Fed June Minutes Reveal Hawkish Stance

FOMC meeting minutes spark demand on the US Dollar Last night’s release of the FOMC meeting minutes revealed a divergence of opinions among Fed officials, with the majority committed to further rate hikes in their ongoing battle against persistent inflation. The Fed is expected to continue its rate hike cycle this month, …

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RBA Holding The Interest Rate Unchanged

Market participants remained relatively calm, eye on several crucial data including Non-Farm Payroll (NFP) The market was surprised when the RBA decided to keep rates unchanged yesterday. The Australian central bank emphasized a data-dependent strategy and indicated potential future tightening if necessary. Oil prices slightly increased as Saudi Arabia unilaterally reduced production, …

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Aussie Dollar Gains Ahead Of RBA Rate Decision

The disappointed PMI reading indicates a lack of optimism in the manufacturing sector Investors await the RBA’s interest rate decision, expecting a 25 bps rate hike. Despite Australia’s CPI dropping to 5.6%, it remains distant from the 2% target. Meanwhile, the Purchasing Managers’ Index (PMI) readings in both the United States and …

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U.S. PCE Shows Inflation Moderating

Cooling inflation has given hopes to the equity markets and weighed on the dollar The US Dollar has strengthened significantly as economic data exceeded expectations, bolstering confidence in the currency. Furthermore, the robust performance of the banking sector has ignited positive momentum in the US equity market. The Federal Reserve’s stress test …

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How To Identify Market Trends For Trend Trading Strategies

The trend trading strategy is a popular strategy employed by many traders seeking to capitalise on sustained price movements in the financial markets. By learning how to identify market trends and adhering to these trends, traders aim to ride the wave of momentum and potentially generate profitable trades. In this article, we …

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Resilient US Dollar And Robust Banks: Key Market Highlights

Solid US economic data continue to boost demand on US Dollar. The US Dollar has gained strength as economic data surpassed expectations. Meanwhile, the robust banking sector sparked bullish momentum in the US equity market. The Federal Reserve’s stress test results showcased the resilience of major banks, including Wells Fargo, JPMorgan Chase, …

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Dollar Gains As Federal Reserve Unleashes Hawkish Tone

Fed’s hawkish tone continues to spark rate hike expectations, US Dollar extend its bullish momentum. The global financial landscape is being marked by shifting monetary policies and concerns over inflationary pressures. Federal Reserve Chairman Jerome Powell’s hawkish tone has injected confidence in the US dollar, as market expectations for a rate hike …

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Equity Markets Positive After Russia Mutiny Resolved

Geopolitical tensions eased following Prigozhin’s troops retreat from Moscow as both parties had reached consensus on certain deals. Political instability in Russia has abated as Prigozhin’s troops retreat from Moscow, leading to a positive response in equity markets, particularly the Nasdaq, which rose over 1%. Oil and gold prices declined as the …

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Stock Markets Slide As Russian Instability Continues

The geopolitical uncertainty saw gold rise slightly, while lending support to a crude oil market plagued by demand concerns Stock markets were rattled as the events over the weekend in Russia heightened geopolitical uncertainty. In a late-night televised speech, the Russian president condemned the leaders of the Wagner mercenaries as traitors, further …

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Russia Mutiny Spurs Risk-Off Sentiment

The rule of Russian President Vladimir Putin, is facing a significant challenge as the Wagner mercenary group advances towards Moscow. The rule of Russian President Vladimir Putin, who has held power for 23 years, is facing a significant challenge as the Wagner mercenary group advances towards Moscow. This development has caused concerns …

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What Is A Breakout Trading Strategy

Breakout trading strategy has gained significant popularity among traders seeking to capitalize on powerful price movements in financial markets. By identifying key breakout points, traders can ride the wave of momentum and potentially increase their chances of success. In this comprehensive guide, we will explore the ins and outs of a breakout …

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Powell Signals Higher Rates

On the first day of Jerome Powell’s two-day testimony before the House, the Federal Reserve Chair delivered a semi-annual monetary policy report. The equity markets and the dollar both experienced declines as Powell took a hawkish stance, stating that the central bank would need to raise interest rates further to curtail U.S. …

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Dollar Stands Pat Ahead Of Powell’s Testimony

Fed Chair Jerome Powell is due to give his twice-yearly testimony before congress today The market is exhibiting cautious sentiment as it edged lower in anticipation of Fed Chair Jerome Powell delivering his semi-annual monetary policy report before the House today (21st June). Investors closely scrutinise this two-day testimony to gain insights …

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Positive Talks Between Blinken And Xi Spur Hope For Equities

Additionally, China has announced its first reduction in the benchmark lending rate in 10 months, a move that could provide support for oil prices. Last night, the U.S. Secretary of State met with the Chinese President and expressed satisfaction with the accomplishments of their trip. This positive development in bilateral relations has …

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Blinken Potentially Meeting President Xi

Improved relationships between the US and China could potentially lead to the equities markets surging Equities in the U.S. contracted last Friday after a bullish run in the past week with Nasdaq up by more than 3%. Notably, U.S. Secretary of State Anthony Blinken’s visit to China, including meetings with top diplomats …

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Dollar Surrenders After Rate Pause Decision

Following the Federal Reserve’s decision to maintain the interest rate unchanged, equity markets responded positively, leading to upward movements, while the U.S. dollar experienced a significant decline of nearly 1% last night. On the other hand, Asian equities continue to gain, helped by the expectation of more stimulus from China. On top …

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Hawkish Tone From The Fed After Rate Pause

While the Fed has paused rates at their June FOMC meeting, their hawkish tone has caused the dollar to rise The Federal Reserve kept the interest rate unchanged at 5.25%, in line with market expectations, as U.S. inflation showed signs of moderating. Despite a rate pause, the dollar quickly erased its losses …

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Higher Chance For Rate Pause With Softer CPI

Inflation came in lower-than-expected and versus the previous month, signalling a June pause on the Fed’s hiking cycle. The equity markets experienced gains, accompanied by a weakening of the dollar, following the release of the U.S. Consumer Price Index (CPI) yesterday. The U.S. CPI decreased to 4% from the previous month’s 4.9%, …

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Markets Waiting For CPI To Gauge Fed’s Next Move

The U.S. equity market witnessed a notable rally as investors expressed optimism about the possibility of the Federal Reserve pausing the rate hike The U.S. equity market witnessed a notable rally as investors expressed optimism about the possibility of the Federal Reserve pausing the rate hike, with the decision scheduled to be …

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Market Sideways Ahead Of U.S. CPI 

Dollar movement remains muted as investors await inflation data as well as the upcoming FOMC meeting The upcoming week is expected to be quite busy for investors, as significant events are anticipated to have a profound impact on the market. The U.S. Consumer Price Index (CPI) will be released on Tuesday, setting …

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Dollar Drops On Cooling U.S. Job Market

High jobless claims have weighed on the dollar and thrown a wrench into the market outlook on the Fed’s hiking schedule U.S. initial jobless claims recorded the highest level since October 2021, confusing the market which previously speculated the Fed might follow the footstep of RBA and BoC to raise rates next …

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Is The Fed Going To Raise Interest Rates In June?

Despite the prevailing risk of an economic downturn in Australia, the RBA surprised the market by adding another 25 bps to its interest rate, vowing to bring the inflation rate down to 2%. The Canadian central bank followed the footstep of RBA and added 25 bps to its interest rate, causing the …

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Asian Equities Rise On China Stimulus Package

Additionally, a planned visit by the US Secretary of State has boosted indices like the HSI The Chinese government introduced an economic stimulus package, including lowering their deposit rate as soon as mid-June. Meanwhile, the U.S. Secretary of State has planned to visit China, which may improve the bilateral relationship between the …

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Dollar Hammered By Weak PMI Data

The dollar’s value experienced a decline, falling below $104 following the release of disappointing U.S. service PMI data. The reading dropped from 51.9 to 50.3, prompting the market to reconsider the possibility of the Federal Reserve pausing its interest rate hike in June. Investors are currently awaiting the announcement from the Reserve …

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4 Indices Trading Strategies You Can Consider

The Popularity of Indices Trading Strategies Trading indices is a popular way for investors and traders to gain exposure to the overall performance of a market or specific sector. Indices track the performance of a group of stocks, providing a convenient and cost-effective way to invest in a basket of stocks rather …

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Dollar Surges on Impressive NFP and Debt Ceiling Resolution

Markets are now risk-on after the US Nonfarm Payrolls reported a much higher-than-expected increase in jobs. In response to impressive non-farm payroll figures, the US Dollar surged, buoyed by renewed market optimism surrounding the US economic progression. NFP in May saw a remarkable increase of 330,000 jobs, surpassing expectations and outpacing the …

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Is The Fed Skipping The June Rate Hike?

Over 70% of punters are now betting on a hike pause at the upcoming FOMC meeting The focus of attention is currently directed towards the U.S. Senate, where the passage of the debt limit is being closely observed. Concurrently, senators are engaged in debates concerning 11 amendments to the bill. The value …

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了解交易风险管理的基础知识

目录: 了解交易风险管理的基础知识评估和识别交易风险将交易心理风险降至最低设定交易目标和风险承受能力利用订单类型进行风险管理交易中的其他风险管理策略监控和调整风险管理策略注意止损以及保证金如何影响您的交易交易中的短期与长期风险管理 了解“交易风险管理”的基础知识 风险管理是成功交易的核心。它是一个识别、评估和减轻可能影响交易和财务结果的潜在风险的过程。交易中的风险管理包括各种策略和技术,其目的是旨在保护资本、减少市场波动风险并优化收益。通过了解和实施有效的“交易风险管理”策略,交易者可以更有信心地应对金融市场的不确定性。 在本文中,我们将深入探讨在金融市场交易时可能会面临的各种风险,以及如何最大限度地降低和管理这些风险的各种方法,以提高有利交易结果的概率。 评估和识别交易风险 评估和识别交易风险对于有效管理交易风险和保障交易资本至关重要。交易者必须保持警惕,评估可能会影响其交易活动的各类风险。交易时需要考虑多种类型的风险,每种风险都有独特的考虑因素,需要加以解决,以下是差价合约交易者最常见的一些风险类型。 市场风险 市场风险可能是交易者最常考虑的风险之一,是指由于市场价格变化或影响整个市场的因素而造成损失,它包括股票、债券、大宗商品、外汇或其他金融工具的不利价格变动风险。经济事件、地缘政治发展、利率变化或供需失衡等因素都可能导致市场风险的出现,也可能会导致市场波动,如果管理不当,可能会造成巨大损失。 作为一名活跃的交易者,进行全面的市场研究并随时了解相关新闻和趋势非常重要。例如,交易者常用的一种方法是跟踪重要经济或金融数据的发布时间。在交易时会仔细查看经济日历,其中显示了各国发布宏观经济数据的时间。 数据公布的另一个例子是上市公司的财报日期,这是公司每季度公布其收入、支出、盈利能力和其他关键财务指标详情的日期。 财报和宏观经济数据的发布都会对相关资产造成相当大的波动,这就需要采取更严格的风险管理措施。 市场风险也可能来自系统性问题–如银行倒闭或经济衰退,这会导致市场恐慌情绪开始蔓延,从而引发剧烈波动。因此,了解即将发生的此类情况并谨慎交易非常重要。 流动性风险 流动性风险是指无法以理想的价格快速买入或卖出资产的风险。当某一特定交易产品的交易量或市场深度不足时,就会出现这种风险。流动性不足的市场可能导致滑点,即执行价格与预期价格不同,从而可能造成损失或退出头寸时遇到困难。 降低流动性风险有多种方法:最直接的方法是交易高交易量的产品,如欧元/美元等主要货币对或者黄金;另一种方法是在流动性较高的时段进行交易,如华尔街开市时,或者就货币对而言,在纽约和伦敦市场交汇的时段进行交易。流动性风险也可能出现在操作过程中,比如您的经纪商无法获得足够的流动性,或者无法足够快地处理您的订单。在 PU Prime 这样与大型银行等一级流动性提供商关系密切的成熟经纪商进行交易,就可以降低这种风险。 运营风险 运营风险是包括因内部流程、人员、系统或外部事件不当或失效而造成损失的风险,它包括与交易执行、结算、技术故障、合规、欺诈和人为错误相关的风险。对于交易者来说,这可能由于经纪商端的技术故障,如伺服器中断或执行缓慢。在用户端,这可能是一切从网际网路中断到人为错误(这时有发生!),例如输入错误的订单价格。 运营风险最难预见的,但可以通过一些简单的步骤将其降到最低,比如选择一个成熟的经纪商,确保您在稳定的网络连接下进行交易,甚至您可以只在精神饱满的时候进行交易。 个人风险 这种风险来自交易者自身,通常是心理层面的。交易中的心理风险是指交易者面临的情绪和认知挑战,这些挑战会影响他们的决策、交易表现和整体健康。这些风险来自交易者在交易过程中经历的心理偏差、压力和情绪。 个人风险也可能源于交易者的个人情况,包括个人财务、时间可用性甚至认知限制等因素。最重要的在于资金并不是用于交易的唯一资源——了解这一点可以帮助交易者更经常地做出最佳交易决策。 在所有类型的风险中,个人风险是交易者最能控制的——这就是为什么了解交易心理不仅有助于交易者理解自己的决策,还能为市场走势提供宝贵的洞察力。 将交易心理风险降至最低:了解情绪和纪律 管理情绪偏差,优化交易风险管理 管理情绪偏差对于交易者优化风险管理和交易心理,从而对做出客观、明智的交易决策至关重要。控制情绪的能力是关键,因为恐惧、贪婪和过度自信等情绪偏差都会影响判断,从而导致偏离交易计划的冲动行为。认识并有效管理这些偏差对于保持纪律性和取得长期交易成功都至关重要。以下是一些相关技巧: Tip #1:在风险管理中保持纪律性 在交易中,保持纪律是管理情绪偏差的基本方面。交易者应坚持自己的交易计划,其中包括预先确定的进出场点、仓位大小和风险管理策略。通过遵守纪律,交易者可以减少因冲动情绪反应而造成的影响,并始终专注于自己的交易目标。进行风险管理,如设置止损单和遵守预定的风险限额,有助于保持严谨的心态,并防止损失过大。 Tip #2:使用交易日志提高情绪意识 撰写交易日志是管理情绪偏差的有力工具。通过认真记录交易,包括每项决策背后的理由以及交易过程中的情绪体验,交易者可以对自己的行为模式获得宝贵的洞察力。定期回顾交易日志有助于识别反复出现的情绪偏差,并提供自我反省和改进的机会。它让交易者能够客观地分析自己的决策,识别情绪反应的模式,从而做出调整,使未来的交易更加明智。 Tip #3:寻求外部视角,实现平衡决策 寻求外部视角可以提供有价值的见解,并有助于抵消情感偏见。与交易导师接触、加入交易社区或参加论坛,可以让交易者分享经验并获得不同的观点。从其他有交易经验的人那里获得反馈,可以为交易决策提供新的视角,并有助于减轻个人情绪偏见的影响。另外同样重要的是要记住,交易社区可能会导致群体思维和同伴压力,从而对交易产生负面影响。因此,保持清醒客观的头脑非常重要。 Tip #4:练习正念以控制情绪 除了外部策略,练习正念和自我意识技巧也有助于管理情绪和情绪控制。这包括深呼吸练习、冥想和视觉化等技巧。培养自我意识可以让交易者认识并承认自己的情绪,而不会让情绪左右自己的交易决策。通过保持当下的状态并专注于手头的任务,交易者可以减少冲动反应,做出更理性、更客观的交易选择。 总之,管理情绪偏差对于优化交易风险管理和交易心理至关重要。通过认识到情绪偏差对决策的影响,并采用一些技巧,如保持纪律性、使用交易日志进行情绪感知、寻求外部视角以及练习正念等,交易者可以加强自己对情绪的控制。 设定交易目标和风险承受能力 设定交易目标和确定风险承受能力是在金融市场取得成功的关键步骤。通过将个人风险承受能力与交易策略和目标相结合,交易者可以有效地管理风险敞口并做出明智的决策。 确定个人风险承受能力对于交易者评估自己在交易活动中可以承受的风险水平至关重要。评估财务状况、情感气质和个人偏好等因素有助于交易者了解自己的风险承受能力,这种自我评估可确保交易者避免过度暴露于风险之中,以免造成过度压力或影响其做出理性决策的能力。 一旦确定了风险承受能力,将其与交易策略和目标相结合就变得非常重要。保守型交易者可能会专注于风险较低但收益稳定的策略;而激进型交易者则可能乐于承担更高的风险,以追求潜在的更大利润,同时在心理上做好承受更大损失的准备,不会被情绪所左右。 制定切实可行的交易目标是交易风险管理的另一个重要方面。目标应具体、可衡量、有时限,以提供明确的方向感,并能适当跟踪进展情况。通过制定切合实际的目标,交易者可以避免不切实际的期望,以免在市场波动期间做出冲动的决策或产生挫败感。 为了有效管理交易风险和实现交易目标,交易者必须持续监控和重新评估自己的风险承受能力。由于市场条件和个人情况可能会发生变化,因此必须定期审查并相应调整风险承受能力和目标。定期的自我反思和评估有助于交易者与风险管理战略保持一致,并适应不断变化的市场动态。 了解您需要了解的差价合约交易知识 点此开始阅读 利用订单类型进行风险管理 订单类型是开始风险管理的最可行方法之一,这些是经纪商平台提供的工具,可在某些预定条件下触发开仓和平仓。下面是一些您可能需要了解的订单类型: …

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All Eyes On U.S. Senate For Debt Ceiling Conclusion

The Week Ahead: Week of 5 June (GMT+3) Monday, 5 June, 11:30 – UK Composite PMI (May) Rating agency Moody has warned that the UK is set for a mild recession, given the high inflation and borrowing costs. Inflation in the country is the highest among F7 countries, with an increase of …

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Understanding Margin Requirements In Leveraged Trading

Optimizing Your Trading Potential Leverage and Margin Requirements play a crucial role in the world of trading. They allow traders to control larger positions in the market with a smaller amount of capital. However, it’s important to fully grasp these concepts and their implications before venturing into leveraged trading. What Is Leverage …

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Debt Limit Bill Vote Passes The House

A Bipartisan Agreement To Suspend The Debt Ceiling Is Now Awaiting Approval From The U.S. Senate The House of Representatives has successfully passed a debt ceiling deal to prevent a potentially catastrophic event. However, the process is not yet complete as the bill now awaits approval from the Senate, where not all …

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Debt-Limit Bill Clears 1st Hurdle

Uncertainty Remains In The Markets As Both Political Parties In The U.S. Continue With Their Discourse Around The Debt Ceiling Issue The bill regarding the U.S. debt limit has successfully cleared its first obstacle at the House Rules Committee, but it now faces another challenge in Congress. Ahead of the bill’s debate …

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Optimism Ignites Asian Markets As Debt Ceiling Deal Sparks Risk Appetite

Market participants are now eagerly waiting for the conclusion of a debt ceiling deal in congress Global markets experienced a mixed landscape as Western holidays provided a sense of calm for dollar-related currencies. In contrast, Asian markets saw a surge in positive sentiment, driving the Nikkei index to its highest level in …

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Dollar Soars On Optimistic Debt Ceiling Deal

Markets Risk-on After Positive U.S. debt Ceiling Deal Boosted The Dollar The US Dollar continued its impressive rally, buoyed by the optimistic prospects of a tentative debt ceiling deal between President Joe Biden and top Republican Kevin McCarthy. The deal aims to avert a potentially catastrophic default, boosting investor sentiment. Concurrently, the …

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Nvidia Shares Soared 26% Due To High Demand For AI Chips

Shares for NVDA surged after a better-than-expected earnings report forecast for 2024’s first quarter Nvidia reported better-than-expected earnings for its fiscal 2024 first quarter, which led to a 26% surge in shares during extended trading. The company’s adjusted EPS was $1.09, surpassing the estimated 92 cents, and revenue amounted to $7.19 billion, …

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Dollar Surges On Robust Economic Data, Fueling Investor Confidence

The US Dollar was buoyed by robust US economic data and positive market sentiment. US GDP exceeded expectations, posting a strong growth rate of 1.30% compared to the projected 1.10%. Encouraging job market data also contributed to the dollar’s strength, with Initial Jobless Claims coming in lower than anticipated at 229K. The …

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Credit Rating Agencies Threatens to Cut U.S. Rating

Fitch has threatened to lower the US’ AAA rating as the debt ceiling issue remains at an impasse Wall Street slid as well as the Asian stock markets as the worries over the debt ceiling escalated when the time was getting closer to the X-date. Meanwhile, the dollar strengthened to its highest …

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Dollar Rises On Debt Ceiling Optimism And Hawkish Fed Tone

The dollar has its highest since March as Fed meeting participants lean hawkish even as punters expect a hike pause in June.  Important this week: the Fed meeting minutes released on Wednesday and more updates on the U.S. debt ceiling talks.  The minutes for the Fed’s May 2-3 meeting was released yesterday, …

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Trading Indices: Unveiling Market Potential

Understanding The Value Of Indices Trading Trading indices is known to be a valuable way for traders and investors to diversify their portfolios and gain exposure to a broad range of market segments. Indices, also referred to as stock market indices or index funds, are collections of assets or instruments that represent …

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U.S. Debt Ceiling Remains At An Impasse

The Biden-McCarthy meeting on the debt-limit bill has yet to yield any deal to avert a catastrophic U.S. default, with U.S. Treasury secretary warning that the country will run out of cash in June. Market sentiment worsened as the White House has no more meetings planned; and gold prices have rebounded due …

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Biden-McCarthy Talks Productive

Both President Biden and the House Speaker claimed that yesterday’s meeting on the debt-limit bill has a productive outcome but both parties are yet to come to an agreement. Meanwhile, U.S. treasury secretary Janet Yellen, reiterated that the department will run out of cash in early June. The dollar index has strengthened …

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Debt-Limit Talks Resume

After a brief setback in debt ceiling talks, US President Joe Biden is set to resume discussions with Kevin McCarthy President Biden is scheduled to resume discussions on the debt limit with House Speaker Kevin McCarthy on Monday, following his participation in the G-7 Summit. The dollar index reached its highest level …

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Optimism Showed About Debt Ceiling Between Biden and McCarthy

House Speaker Kevin McCarthy was optimistic that congressional negotiators could reach a deal to raise or suspend the debt ceiling in time. The focus on resolving the debt limit issue overshadowed macroeconomic data as the June 1 deadline approached. McCarthy’s positive outlook came after a meeting at the White House and the …

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Dollar Surges On Positive Data And US Debt Ceiling Deal

Optimism In The Markets Has Seen The US Dollar Index And Equities Rising In Tandem The Dollar Index surged, buoyed by upbeat economic data, and the optimism surrounding a potential deal to raise the US debt ceiling. Prominent Republican Kevin McCarthy expressed confidence in passing a bill to increase the debt ceiling, …

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Debt Ceiling Optimism Overshadows Macro Data

The dollar has hit a 7-week high after significant progress on the debt ceiling bill has been reached. Macroeconomic data has taken a backseat as the U.S. nears its 1 June debt ceiling deadline as outlined by Treasury Secretary Janet Yellen. Unlike the hard data of economic releases, this is a political …

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Biden Confident On Debt Ceiling Bill

President Biden is confident in reaching a bipartisan agreement with congressional leaders to elevate the debt ceiling, effectively averting an unprecedented default situation for the United States. This development has sparked a wave of optimism, prompting the dollar to trade higher, while the safe haven commodity gold languishes amid the surge in …

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Positive Progress On U.S. Debt Ceiling Bill

Investors are rotating out of gold en masse on optimism surrounding the U.S. avoiding a default Both President Biden and House Speaker Kevin McCarthy struck an optimistic tone regarding the prospects of reaching a consensus to raise the national debt ceiling and avert a potentially catastrophic default on the debt. As a …

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All Eyes On Biden Meeting Outcome

US Treasury Secretary Janet Yellen has once again emphasised the need to pass the debt ceiling bill before June 1, warning that failure to do so could result in the federal government running out of cash to meet its obligations. President Biden is set to hold a meeting with congressional leaders today …

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Dollar Boosted By Fed’s Hawkish Comments

A bounce in the U.S. dollar has put downward pressure on oil and gold prices Equity markets were stagnant while the dollar has strengthened, driven by hawkish comments from various Fed officials stressing high inflation in the U.S. On the other hand, President Joe Biden and the country’s congressional leaders are going …

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Disney Shares Fall On Losing Of 4M Streaming Subscribers

Elon Musk announced on Thursday that he was stepping down as CEO of Twitter and moving to a product and technical role. Shares of Walt Disney Co fell over 8% after it reported a surprising drop in streaming subscribers, resulting in worries that the company may have sacrificed growth to stem losses. …

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Biden-McCarthy Meeting Postponed

Investor sentiment has taken a hit in the market following the postponement of a meeting between U.S. President Joe Biden and the House Speaker to address the looming debt ceiling crisis. The Biden administration is under pressure to pass the debt ceiling bill by June to avoid a potential default on the …

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Soft CPI Give Fed Room To Pause Rates

A lower-than-expected inflation has lent optimism to the markets The latest U.S. inflation figures have provided the Federal Reserve with some respite on its upcoming rate hike decision. The data for April showed a slight drop in inflation to 4.9% from 5%, easing the Fed’s dilemma. As a result, the dollar weakened …

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Markets Calm Before U.S. Inflation Data

As investors await the U.S. Consumer Price Index (CPI) and monitor the development of the U.S. debt ceiling, the markets remain subdued. Most of the asset classes saw little change overnight ahead of the U.S. CPI, which is due to release later today (10th May). On the other hand, the market is …

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Markets Quietly Await U.S. CPI

The markets are quiet before the U.S. CPI released on Wednesday (10th May). U.S. equity markets moved sideways while the dollar index and gold prices have little change as the market is digesting the renewed banking sector risk as well as developments regarding the U.S. debt ceiling. On the other hand, Australia …

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Share Markets Advance After NFP Release

The Non-Farm Payroll (NFP) reading was in line with expectations, showing a substantial increase from the previous reading of 165,000 to 253,000. This suggests that the job market in the United States remains strong, indicating a robust economy. The equity market responded positively to this economic data and closed higher, resulting in …

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Equity Market Slides Ahead Of NFP Release

Renewed fears about the banking crisis have caused investors to turn risk-off even as gold hits a new high While investors are still digesting the recent rate hike by both the Fed and the ECB, the equity markets continue to slide with the renewed banking turmoil. Several regional banks in the US …

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Understanding What Indices Are And How To Trade Them

Indices trading can provide several benefits to traders, which includes allowing diversification of trade, access to multiple major markets and cost effectiveness. Find out exactly what indices trading is and how to trade indices in this comprehensive guide.  What Are Indices Indices are key indicators in the financial markets, serving as a …

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Fed Meeting Goes As Expected, Signals Potential Hike Pause

Traders are strongly advised to look out for Friday’s Nonfarm Payrolls data, meanwhile, is estimated to be at 180K, lower than the previous month’s 236K In line with market expectations, the U.S. Federal Reserve raised interest rates by 0.25%, or 25 basis points, bringing the so-called Fed fund rate up to between …

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Fed Rate At The Highest Level Since 2007

The dollar has dipped on dovish expectations and downward pressure on the economy Federal Reserve Chairman Jerome Powell announced yesterday that the central bank would deliver its 10th consecutive interest-rate hike of 25 basis points, bringing the Fed rate to 5.25%, its highest level since 2007. Powell also hinted that the Fed …

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All Eyes on Fed’s Interest Rate Decision

Markets are widely expecting a 25-point hike at the upcoming Fed meeting The U.S. financial markets experienced much-needed stabilisation after JP Morgan’s acquisition of First Republic bank, the latest financial institution to fail. This development has lifted the U.S. equities markets, with Asian markets also opening higher after returning from the labour …

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First Republic Bank’s $100B Deposit Withdrawal Spurred Market Concerns

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Wall Street Rally Boosts Asian Equities

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Overall Equities Markets Down Despite Positive Earnings Season

Markets are risk-off due to fear of contagion from First Republic Bank’s imminent collapse Earnings season is ramping up, with results have been much better than market’s expectations. Tech stocks are leading with a 0.64% increase in the Nasdaq on Wednesday. Meta shares shot up 12% after the company posted an earnings …

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First Republic Bank’s Deposit Plunge Sparks Risk-Off.

A probable bank run and a far lower-than-expected drop in deposits have prompted market participants to turn to safe havens First Republic Bank’s disappointing first-quarter results with a significant plunge in deposit levels, had raised concerns about the bank’s financial health. This triggered a risk-off sentiment, driving the CBOE Volatility Index to …

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What You Need To Know About CFD Trading?

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Dollar Slips Ahead of Fed’s Monetary Policy Decision

With a 25-point hike already priced in for the dollar, investors have turned to the ECB’s hawkish outlook to price the euro The US Dollar slipped to a one-week low as investors pondered the Federal Reserve’s monetary policy ahead of next week’s meeting, where a rate hike is expected. Uncertainty lingers, with …

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Investors Brace for Uncertainty Ahead of Key Economic Data

The U.S. is trading flat as the markets prepare for potential uncertainty ahead of GDP and inflation figures The King Dollar is trading flat as market participants prepare for potential uncertainties. The upcoming release of GDP figures, core PCE price index, and employment cost index are critical for global investors. Meanwhile, the …

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Gold Prices Surge as Recession Looms

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Asian Shares Dip Amid Cautious Trading

The VIX dipped to its lowest level in over a year as equities trade sideways ahead of the Fed interest rate decision Asian shares traded lower, and U.S. equity futures fell as investors remained cautious after Wall Street closed with little change. The CBOE VIX volatility index hit its lowest level in …

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Dollar Holds on to Gains After Hike Expectations Bounce

USD remains elevated even as the economy shows signs of weakening The U.S dollar saw a bounce on Monday after a sustained dip on the back of signs of easing inflation and the recent bank stress. Resilient retails sales, optimistic earnings in Wall Street, and hike-signalling from the Fed have caused the …

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Dollar Struggles as Investors Remain Sceptical of Fed’s Hawkish Tone

The US Dollar continues to struggle as uncertainty over US monetary policy lingers in the global financial market. Despite hawkish comments from Atlanta Fed President Raphael Bostic and James Bullard regarding the need for rate hikes to combat inflation, market participants remain sceptical as the recent inflation data from the US region …

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China’s GDP Shows Solid Economic Recovery

Economic growth in the world’s second-largest economy will be bullish for oil prices China’s freshly released economic data has shown resilient growth in the country compared to the previous quarter. China’s GDP in the first quarter surged to 2.2% from the previous quarter’s 0%, a favourable sign that could potentially stimulate higher …

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Markets Cautious Ahead of Earnings Season

Equities are muted as markets await the expected volatility of the earnings season US index futures cautiously climbed during the Asian market session, signalling investors’ apprehension ahead of the upcoming earnings season. Against the backdrop of growing concerns over economic slowdown and the possibility of further rate hikes, market volatility is expected …

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Rate Hike Expectations Falter as PPI Plummets. 

The US Producer Price Index came in lower than expected The US Federal Reserve’s rate hike expectations have continued to wane amid a flurry of lacklustre economic data. The latest blow to inflationary pressures came from the Producer Price Index (PPI) released by the Bureau of Labor Statistics, which displayed a significant …

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US Dollar Dips as Inflation Falls Short. 

US Treasury yields and the Greenback dipped as investors recalibrated their expectations for rate hikes following the release of March’s Consumer Price Index (CPI), which came in below the market consensus. This unexpected dip in inflation triggered a surge in the prices of non-yielding assets such as gold and crude oil, as …

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Gold Surges Past 2010 as Inflation Shows Signs of Slowing

On Wednesday, 12 April, the U.S. CPI data was released, showing that March’s headline inflation in the U.S. slowed more than anticipated, with the year-on-year number showing a drop from 6.0% in February to 5.0% in March; lower than the expected 5.2%. The monthly rate decreased to 0.1% from 0.4%, which was …

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Markets Calm Before Inflation Data

Economists project the upcoming U.S. CPI figures will galvanise the markets in either direction depending on its performance U.S. equity markets have traded in low volatility for the past few sessions, but economists project the lull period will be broken after the U.S. CPI is released later today. A softer reading from …

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Equities Market Edge Higher as Risk-On Sentiment Escalates

The market has a higher risk tolerance, with U.S. equity markets edging higher and the dollar extending its gain for the 2nd straight session. On the other hand, notwithstanding a dovish stance from the newly appointed BoJ governor, economists projected that the ultra-loose monetary policy is unsustainable with the rising inflation in …

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Mixed Asian Shares After Surprise Rate Hike by RBNZ

Asian markets were mixed as investors digested a US labour report showing a drop in job openings to their lowest level in almost two years in February. New Zealand’s central bank increased its benchmark cash rate by 50 basis points to 5.25%, causing the New Zealand dollar to strengthen by almost 0.9%. …

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Markets Steady Ahead of NonFarm Payroll.

Most of the asset classes were muted ahead of the Nonfarm Payroll report which will be released today; Markets seemed confused and contradictory between asset classes with the backdrop of high inflation and recession fears. Assets class, including equity markets, the U.S. dollar, gold, stayed flat on Thursday amid directionless trading. On …

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Nasdaq 100 Enters Bull Market as Fears Over Banking Crisis Ease

On Wednesday, 8 March, the U.S. ADP Nonfarm Employment Change data for February was released, coming in at a lower-than-expected 145,000 against the expected 200,000 and down from January’s figure of an upwardly-revised 261,000. This is the latest in a string of cooling data showing that the Fed’s aggressive tightening regime might …

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Banking Crisis Fears Resurface

Evidence of a weakening U.S. economy has led investors to rotate out of the dollar Although a hawkish statement from Cleveland Fed President Loretta Mester advocated for sustained rates above 5%; the market is struggling with the resurgence of banking fears. The newly released economic data, including the manufacturing PMI and JOLTs …

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PU Prime Server Upgraded Reminder

Dear Valued Client, PU Prime would like to remind you that we have recently completed a server upgrade to provide an enhanced trading environment for all our clients. The upgrade was carried out on 18 March 2023, from 00:00 hrs. (GMT+3) until 05:00 hrs. (GMT+3). As a result of the upgrade, the …

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Stock Markets Mixed On Concerns Over Oil Inflation Risk

OPEC+’s surprise production cut has roiled Asian the equity markets U.S. equity markets continue to be bullish, with market sentiment continuing upwards after the banking sector woes. Asian markets saw mixed performance due to inflationary worry after a surprise move from OPEC+. The oil cartel further cut production by more than 1 …

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Oil Prices Surges With OPEC+ Surprise Supply Cuts 

Oil prices surged by more than 8%, with WTI crude trading above $81 for the first time since January after an unexpected announcement from OPEC+ to cut crude supply to tighten the market. The oil allies announced cutting more than 1 million barrels of oil per day, with Saudi Arabia leading the …

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Crude Surges on Surprise OPEC+ Cuts

Oil prices surged at the beginning of the week after OPEC+ unexpectedly announced crude output cuts that could tighten the market, causing inflationary concerns for the global economy. The cuts, which will exceed 1 million barrels a day, were not expected by traders who anticipated output to remain steady. Goldman Sachs raised …

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Global Markets Maintain Risk-On Sentiment in Anticipation of Key PCE Reports

China’s economic performance continues to astound global markets as the latest Purchasing Managers’ Index (PMI) data revealed that the service sector activity in the country surged to its fastest pace in 12 years in March. Such sentiment has sparked optimism for the antipodean currencies, which are closely linked to China’s economy. The …

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Tech Shares Push Wall Street Higher

Wall Street rallied following the footstep of Asian equity markets last night, pushed by tech shares as concerns over the stability of the financial system continue to ease. An increasing risk-on attitude has also muted the gold prices and the U.S. dollar while U.S. treasuries yield stays flat. Before the RBA announces …

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China Equity Market Rallies with Alibaba Revamp

Chinese stock indices, including the Hang Seng Index, rallied as Alibaba said it would split the company into 6 units that would potentially be listed individually. This reflects a loosening attitude from the Chinese government toward the technology companies after the long crackdown from Beijing. On the other hand, the fresh Australian …

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Markets Get Relief From Banking Turmoil

The banking crisis was seemingly resolved after yesterday’s news reported that First Citizens Bancshares Inc agreed to buy Silicon Valley Bank. On top of that, the U.S. authorities are considering expanding its emergency lending facilities for banks to shore up the bank’s balance sheet, which in a way supports the embattled First …

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Markets Put Less Weight On Banking Crisis

Focus has shifted back to inflation and interest rates as the banking crisis shows signs of easing Equity markets advanced and major currencies fluctuated in narrow ranges in the last session. Easing in the banking crisis and perceived lower risk of recession spurred the equity market to trade higher while modest rate …

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Equities Markets Slide as Banking Sector Concern Still Intact. 

Wall Street was hindered by the banking sector and slumped after investors digested the comment from Janet Yellen, U.S. Treasury Secretary on Wednesday’s hearing. However, Yellen attempted to alleviate market concerns during a subsequent hearing on Thursday, promising that policymakers would take further action to safeguard bank deposits if necessary. Meanwhile, Japan’s …

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Fed Takes Risk With Rate Hike Amid Banking Crisis

Investors hoping for a pause in rate hikes were disappointed as the U.S. Federal Reserve pushed ahead with a quarter-point hike at its interest rate decision on Wednesday. While way lower than 2022’s mega-hikes of 50 to 75 bps and in line with economist expectations, March’s 25-point hike is a calculated risk …

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Fed is not Pausing Rate Hike

Jerome Powell delivered a smaller size of rate hike of 25 bps which is in line with the market consensus; however, the market was hit by double assail with U.S. major indexes dropping by more than 1% and the dollar traded below $103. Firstly, Powell revealed that the Fed considered pausing the …

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Markets Risk-on Ahead of Fed’s Interest Rate Decision

Wall Street closed high and gold prices retraced as the fears over the banking sector crisis abated; the dollar index remains calm before the Fed’s interest rate decision announcement, which will be made later today (22nd March). However, investors are starting to discuss the banking turmoil as aftermath of central banks’ frenetic …

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Stubbornly Strong Jobs Data Supports Hawkish Fed Outlook

In a continued chain of unrelentingly robust jobs data, the U.S. ADP Nonfarm printed a reading of 242,000  for February, higher than an estimated 205 000 and up from a revised 119,000 for January. The service sector had the largest contribution to  job additions with 190,000, of which a majority came from …

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MT4 And MT5 Are Back On The App Store

Popular forex trading apps MT4 and MT5 are back on the Apple App Store after being banned for more than five months Popular forex trading apps MetaTrader 4 (MT4) and MetaTrader 5 (MT5) have been reinstated in the Apple App Store after being banned from iOS in September 2022.  The ban has …

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Cheap Consumer Loans Might Backfire in China

President Xi Jinping’s effort to stimulate China’s economy through increased consumer spending is facing a new challenge as citizens misuse cheap consumer loans. Borrowers are using low-interest loans to prepay mortgages or invest in stocks, instead of buying goods as intended. This practice, which is prohibited by regulators, threatens to undermine Beijing’s …

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Understanding The Gold-Silver Ratio Trading Strategy

What Is The Gold-Silver Ratio? Simply put, the gold-silver ratio is the price of gold divided by the price of silver. In other words, it is the amount of silver that is equivalent to one ounce of gold. This ratio has historical significance, having been used as a tool to maintain the …

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Investors Snap Up Adani Bonds

Hedge funds and distressed debt specialists are buying bonds related to Gautam Adani’s business empire, a potential sign of encouragement after a recent short-seller report. Oaktree Capital Management and Davidson Kempner Capital Management are among the firms buying the debt, which suggests that a rout in Adani’s securities may be easing after …

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Amazon Reports Growing Share of Tech Market

Amazon’s advertising business continues to thrive, growing 19% YoY in Q4 2022 to $11.6 billion in sales, despite a slowdown in the digital advertising market that has affected other companies like Alphabet, Facebook, and Snap. While Amazon’s advertising unit is still a small portion of the company’s overall revenue, it is seen …

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6 Risks Of Forex Trading Traders Should Consider

The Forex Market Is Quite Volatile And Can Carry Some Risks. While there are several benefits to forex trading, the forex market also comes with a significant amount of risks. In this article, we will discuss some of the main risks that traders should consider before entering the forex market. Forex Trading …

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Will Chinese Demand Overshadow Supply Concerns for Crude?

A lower-than-expected build in crude oil inventories has seen the commodity trade flat as demand concerns hit the markets. On Wednesday evening, the EIA Crude Oil Inventories was released, showing a build of 522,000 barrels, putting the total inventory at 448.5 million. This is much lower than the forecasted increase of 971,000 …

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Top Commonly Used Forex Trading Strategies For Beginners

Forex Trading Can Be A Bit Overwhelming For Beginners. While forex trading offers plenty of opportunities, it can still be a bit overwhelming for beginner traders. There are many different strategies that are being used by forex traders and we will take a look at some of the most commonly used forex …

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Bank of Japan (BoJ) maintains a dovish stance, Dollar dips on pessimistic economic outlook

On Wednesday, the Bank of Japan left its ultra-easing policy unchanged, sparking heavy speculation that it could be prompting the monetary policy divergence between the Bank of Japan (BoJ) and the Federal Reserve while defying market expectations it would phase out its massive stimulus program.   In the face of uncertainties worldwide, the …

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FOMC Minutes:  No Light at the End of The Tunnel for Fed

On Wednesday, the U.S Federal Reserve released the minutes for its 13-14 December meeting, revealing a key message coming from committee members to investors: don’t start counting on a dovish pivot just yet.   Quoting from the minutes – “an unwarranted easing in financial conditions, especially if driven by a misperception by the …

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Understand The Basics Of Contract For Difference (CFD)

Contract For Differences Overview & Examples CFD refers to a financial contract between brokers and traders to pay the price differences in the asset between opening and closing trade. Find out about what CFD is and how it works below. What Is Contract For Differences (CFD) First of all, a contract for …

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2022年PU Prime共斩获12项国际大奖

在经历了艰苦但有意义的一年后,PU Prime自豪地宣布,我们在2022年累计获得了12个行业奖项(见以下完整列表)。 这些奖项来自于全球各种成熟的国际组织,反映了各种标准下的最佳成就,从拥有best affiliate partnership program in Europe(由位于阿联酋的International Business Magazine颁发)到Best Global Online Broker(由Financial Expo Egypt颁发)这样更广泛的成就。 PU Prime衷心的对行业认可表示感谢,并认为这些奖项反映了我们无论是在产品、促销、技术还是服务方面,都致力于改善客户体验,在差价合约和外汇行业内保持领先的努力。 在今年余下的时间和2023年,客户可以期待一大批新的改进和促销活动,包括PU Prime的2023万个理由活动。2023年有2023万美元的奖池等待着你,且还有新增产品类别:无无本金交割远期。 另外,PU Prime在2022年的全球扩张计划中也取得了重大进展。在印度、印度尼西亚、泰国、土耳其和南非建立了新的办事处,使PU Prime的全球办事处数量达到19个。 最重要的是,PU Prime要向其客户表示衷心的感谢–没有他们,这一切都不可能实现。 2022年PU Prime所获奖项 颁奖机构所获奖项 The International BusinessBest Affiliate Partnership Program Europe 2022 The International BusinessBest Mobile Trading App Europe 2022 Financial Expo Egypt 2022Best Global Online Broker 2022 Financial …

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Will the Japanese Yen See a Big U-Turn in 2023?

On Wednesday, the Bank of Japan released a summary of opinions from its December meeting. The meeting, originally held on 20 December, saw the BoJ increase its 10-year benchmark yield ceiling in a surprise move that boosted the yen over 3% by investors betting on a Hawkish turn by the BoJ.  However, …

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Outlook on Crude Positive for Early 2023 on China Reopening and OPEC+ Cuts

U.S. crude oil stockpiles fell much more than expected, according to the data of the American Petroleum Institute (API). The weekly report released by the organisation reported a draw of nearly 3.1 million barrels of crude oil for the week ending in December 16th. Compared to a build up of more than …

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PU Prime荣获2022年菲律宾最佳差价合约经纪人奖

PU Prime荣幸地宣布,在今年所获的一系列荣誉中又增加了一个奖项。该公司最近于2022年12月10日在胡志明市举行的晚宴上获得了2022年菲律宾最佳差价合约经纪人奖项。 该奖项由Traders Awards颁发,是在今年1月到11月共计11个月的时间里,由交易者们投票选出,可以看作是对 “人民选择 “的认可。 Traders Awards 是由FINEXPO组织,FINEXPO是金融活动领域的主要参与者,负责广泛参加的交易员博览会,这是一系列在全球举办的金融博览会。 由于PU Prime极具竞争力的产品和顶流的客户服务,使其在共计288家其他公司和经纪商中脱颖而出,成为菲律宾交易员的首选。 该公司由衷地感谢行业的认可,并认为该奖项反映了其在差价合约和外汇行业中为改善客户体验和保持领先地位所做出的不懈努力——无论是在产品、活动、技术还是服务方面。 在今年剩余时间和即将到来的2023年,客户可以期待一系列新的改进和促销活动,包括PU Prime的20.23百万理由促销活动,将有20.23百万美元的高额奖金池等待客户共同迎接2023年。 最重要的是,PU Prime要向客户表示衷心的感谢,没有他们,这一切都不可能实现! 关于PU Prime PU Prime成立于2015年,是一家屡获殊荣的在线经济公司,服务于大洋洲、欧洲、亚洲、非洲和北美洲的120多个国家及地区。 联系我们: 电话: +248 4671 948 电子邮箱: [email protected] 公司地址: 9A, CT House, Providence, Mahe, Seychelles

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Scaled-Down 50bps Hike From Fed Belies Hawkish Outlook

On Wednesday, 14 December, the U.S. Federal Reserve announced its last rate hike of the year – a 50-basis point increase to the Fed fund rate, well in line with the market’s expectations. This brings the Fed benchmark rate to 4.25% – 4.5%, the highest in 15 years. While a dovish step …

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U.S. to Send More Aid to Ukraine

The U.S. will send another security package to Ukraine, worth US$275 million, consisting of new capabilities to boost its air defences. This puts the total amount of direct aid the U.S. has delivered to Ukraine since Russia’s invasion at $13 billion. U.S. President Joe Biden and Treasury Secretary Janet Yellen have both …

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Gold Struggles to Find Direction even as China Eases Covid Restrictions

China has announced that it will be lifting its strictest covid policies, including being forced to quarantine in state facilities and the need to test before entering most venues. The easing has been released in a series of new guidelines that include a ban on blocking fire exits, encouraging vaccinations among the …

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6 Key Gold Trading Strategies To Know

In order to maximise your profits, understanding gold trading strategies are vital. Gold trading strategies are referred to as guidebooks by many gold traders to navigate how to manage a trade and when to close it. However, each form of a transaction has its own characteristics and not all trading strategies used …

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FOMC Minutes Point to Less Hawks Decisions

On Wednesday, 24 November (GMT+2), the Federal Open Market Committee (FOMC) released the minutes of its 1-2 November meeting. Reflecting statements multiple officials have made over the last several weeks, the meeting summary concluded that a substantial majority of the Monetary Policy Committee (MPC) agreed it would probably moderate the pace of …

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Tencent Wins First Game License in 18 Months

Chinese tech and gaming giant Tencent has been awarded its first license for a video game in 18 months. This comes after the Chinese authorities started its wide-reaching crackdown on big tech companies, implementing legislation like limiting the amount of time children could spend playing games, and freezing the approval of new …

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Geopolitical Headwinds Overshadow Crude Inventory Drop

On Wednesday evening, the EIA Crude Oil Inventories was released, with a draw of 5.4 million barrels – almost 5 million higher than the expected draw of 440,000 barrels. This puts current inventories at 435.4 million barrels, 4% below the 5-year average for this time of the year.  Normally, a larger-than-expected drop …

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FTX Declares Bankruptcy

Embattled cryptocurrency exchange FTX has declared bankruptcy in the latest saga in the crypto world. The company saw a mass exodus of holders of its native coin, FTT, after news emerged that its finances, including that of its sister trading company Alameda Research, was on shaky ground. Alameda itself is being accused …

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Must-Know Gold Trading Tips

Gold has been known as a good hedge against inflation and hence, many investors flock towards the gold trading market. Here are some tips to know. Gold has been widely called a “safe-haven” asset as it is able to retain and increase in value despite times of market turbulence or inflation. Many …

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Top Benefits To Forex Trading

Before you start trading forex, it is key to understand the reasons why you choose to do so. Check this article to find out the top benefits of forex trading. The Forex Trading Market Is Large And Global With trillions of dollars being traded each day, the forex trading market is the …

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U.S. Midterm Elections Ahead

What You Need to Know Asian markets are on the upsurge, especially the Hong Kong market, which climbed more than 11% in November. The Sterling will suffer as the BoE has turned its focus from inflation to saving its negative economic outlook, which will drive the market to sell off more pounds. …

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股市下跌债卷收益率上升

市场须知 美国主要科技股大跌并拖累美国股市下跌,而美联储预计将在更长时间内维持高利率以抑制通胀,因此美国国债收益率曲线倒挂幅度更大,达到 4 年来的极端。随着英国央行发出低于市场预期的加息信号,英镑和英国的长期债券暴跌。对全球经济放缓和央行加息的担忧盖过了石油供应收紧的影响,导致油价向下波动。 市场看点 当前对 12月 14 日美联储利率决定的加息概率: 50个基点(52.0%) VS 75个基点 (48.0%) 市场概括 财经日历 市场走势 美元指数 昨日美国公布积极经济数据后,六种主要货币兑美元的交易指数飙升。根据美国劳工部的数据,美国首次申请失业救济人数为 217,000 人,好于市场预期的 220,000 人,徘徊在历史低位附近。申领失业救济人数仍处于低位,表明美国劳动力市场依然稳健,提振了美联储的鹰派预期。就目前而言,市场参与者将继续关注关键的非农就业数据,该数据将于今晚发布,以获得进一步的交易信号 美元指数走高,目前在阻力位 113.45 附近交易。 MACD 显示看涨势头减弱,而 RSI 为 65,表明该指数的前景在短期内看跌,因为 RSI 从超买水平急剧回落。 阻力位:113.45, 114.75 支撑位:111.95, 109.65 黄金/美元 金价周四下跌 1% 至 1634 美元,因美联储宣布未来可能开始小幅加息。黄金被认为是一种通胀对冲工具,但利率上升削弱了非利息金条的吸引力。投资者关注 10 月份的美国非农就业数据,这可能预示着美联储的加息计划。 MACD 徘徊在零以下,表明看跌势头仍在继续。另一方面,RSI 低于 50,表明金价走势看跌。 阻力位:1676, 1731 支撑位:1613, 1569 …

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Liz Truss Resigns from Office

UK Prime Minister Liz Truss resigned last week, making her the UK’s shortest-serving PM at just 44 days in office. Truss’ term has been plagued by criticism for her mini budget program, which included the biggest tax cuts since 1972, but would be largely funded  by a massive expansion in borrowing. The …

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More U-turns Foreseen From Bank of England

UK Chancellor of the Exchequer Kwasi Kwarteng made an unprecedentedly dramatic early exit from an International Monetary Fund event in Washington on Friday, with many thinking it was to return to the UK to prepare his fiscal plan. Turns out, Kwarteng was being asked to leave his post by UK Prime Minister …

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Europe Has Almost Enough Gas for Winter, But IEA is Worrying About 2023

The International Energy Agency’s (IEA) executive director, Fatih Birol, has said that 90% of gas storage was full in Europe, and that bar surprises, Europe can get through the winter. 2023, however, remains in question because 2022 still saw some Russian gas being imported, as well as lower demand from China due …

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Outsized ADP Nonfarm Employment Fizzles Stock Rally give back

On Wednesday evening (GMT+3), the US ADP Nonfarm Employment data was released, clocking in at 208,000 jobs added, better than the 200,000 forecasted and August’s 185,000. While the manufacturing, natural resources, and mining industries reported a loss of 29,000 positions, huge additions in the trade, transportation, utilities; and business and professional services …

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Bank of English Stages Emergency Bond Buying as Pound Plunges 

Bank of English Stages Emergency Bond Buying as Pound Plunges  The Bank of England, UK’s Central Bank, has announced this week a temporary gilt-buying programme to urgently respond to a “material risk to UK financial stability” after the pound went into free fall after new prime minister Liz Truss announced tax cuts …

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How To Invest In And Trade Gold

Gold has been used as a store of value for thousands of years. Even today, it remains a highly liquid asset, with hundreds of billions worth traded every day. Content: What Is Gold?What Affects The Price Of Gold? Why Invest In And Trade Gold?How To Start Trading Gold?How To Read And Analyse …

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美元触及20年高点

市场焦点 周一美国股市下跌,延续了近期的颓势,在全球央行行长坚持不惜一切代价与通胀作斗争的情况下,美国股市在震荡盘中下跌。英国市场周一成为焦点,因为英国提升经济的计划加剧了人们对通胀加剧会推高利率并引爆全球经济衰退的担忧。尽管英国央行行长安德鲁-贝利(Andrew Bailey)重申,如果有必要,他们会毫不犹豫地改变利率,并补充说他们正在密切关注金融市场的发展,但这些评论对安抚正在等待更广泛政策反应的交易员来说作用不大。在经济数据方面,美国耐用品订单和CB消费者信心指数将在周二占据中心位置。在欧元区,投资者正在等待欧洲央行(ECB)行长克里斯蒂娜-拉加德的讲话,这将为未来可能的货币政策提供线索。 标准普尔500指数和道琼斯工业平均指数周一双双下跌,标准普尔500指数在昨天的交易中以2020年12月以来的最低水平收盘,同时Cboe波动率指数飙升至30以上。标准普尔500指数日内下跌1.00%,道琼斯工业平均指数也下跌,日内下跌1.1%。标准普尔500指数的11个板块中,有10个板块保持负值,其中房地产和能源板块在所有板块中表现最差,分别下跌2.63%和2.57%。同时,纳斯达克100指数跌幅最小,为0.5%,MSCI世界指数当天下跌2.0%。 主要货币 周一美元攀升,保持上行力度,在经济衰退的担忧和利率上升的情况下,触及2002年以来最高的114.5关口上方。美联储加息75个基点,并承诺进一步加息,因为央行希望平抑通胀,这支撑了避险的绿盘,并将主要货币对推至多年来的新低点。 英镑兑美元周一大幅暴跌,跌幅为1.04%,此前在围绕英国的悲观情绪下,英镑从周一标注的历史低点小幅回升。在英国方面,英国财政部长Kwasi Kwarteng宣布取消最高所得税率,并取消了企业税的上涨计划。与此同时,欧元兑美元保留了下行势头,在美元走强的情况下,在0.9549的二十年新低附近交易。该货币对当天下跌了近0.60%。 黄金全天下跌1.29%,在美国交易时段跌至1623美元关口以下的两年多来最低点,因为避险情绪使交易商的资金流向绿盘,并对避险金属构成了压力。同时,WTI石油在从80.0美元区域回撤后进一步回落,当日跌幅为3.74%,因为对全球经济放缓的担忧。 技术分析 1)欧元兑美元(EURUSD;4小时图) 在本周的第一个交易日,欧元兑美元下挫。该共同货币延续了上周的跌势,在美元走强的情况下,正走向多年来的低点。整个市场的风险厌恶情绪使美元在亚洲交易时段开始时获得了巨大的竞价。本周,美联储官员将发表一系列讲话,首先是美联储主席鲍威尔在27日星期二的讲话。随着债券的抛售,美国10年期国债收益率持续上升–截至发稿,收益率已突破3.8%。美联储最近的会议传递了一个明确的信息,即不惜一切代价抑制通胀。定于9月30日发布的美国PCE报告将成为焦点,因为它是美联储青睐的领先通胀指标。 在技术方面,欧元兑美元再次向我们之前估计的支持水平0.96交易。如果美元继续走强,欧元兑美元的下一个支撑位可能在0.94附近形成。截至发稿,该货币对的RSI指标位于37.96。在四小时图上,欧元兑美元目前在其50、100和200日均线下方交易。 支撑:1.0011, 1.0055 阻力:0.98, 0.96 2)英镑兑美元(GBPUSD;4小时图) 英镑在新的交易周的第一天暴跌。随着英镑在亚洲和欧洲交易时段的抛售,英镑见证了历史新低。由于英国最新的企业减税消息引发了对英国政府财政赤字的担忧,市场参与者抛售英镑。正如上周的报告中提到的,我们看到英国的信贷风险在上升,因为该国继续面临着重大的增长挑战,而英国央行继续加息;另一方面,英国政府决定进一步增加预算赤字,为私营部门提供资金,并为英国居民补贴能源费用。来自英国央行和美联储的成员将在本周发表讲话–从27日美联储主席鲍威尔开始。 在技术方面,英镑已经跌破了我们之前估计的1.08的支持水平,现在正在1.06的价格水平附近盘整。由于美元继续达到历史高点,平价现在对英镑来说是坚定的。截至发稿,该货币对的RSI指标位于43.13。在四小时图上,英镑兑美元目前在其50、100和200日均线下方交易。 支撑:1.1561, 1.1854 阻力:1.06, 1 3)黄金(XAUUSD;4小时图) 黄金在本周的第一个交易日下滑了1%以上。以美元计价的黄金兑美元的表现可能更糟,因为市场参与者继续要求美元。截至发稿时,黄金已下挫至1624美元/盎司,为2020年4月以来的最低水平。无数原因促成了全球各地的金鹰央行的暴跌,主权债务的收益率上升,以及风险厌恶的市场情绪,这通常是黄金的一个积极信号,但市场参与者偏爱美元而不是黄金。然而,随着俄罗斯开始部分动员其武装力量,如果俄罗斯和乌克兰之间的战争出现转机,黄金价格可能会出现飙升。 在技术方面,黄金已经跌破了我们之前估计的1640美元/盎司的支持水平。非收益性金属的下一个支持水平在每盎司1600美元左右的价格水平。截至发稿时,该货币对的RSI指标位于32.8的位置。在四小时图上,黄金目前在其50、100和200日均线下方交易。 支撑:1695, 1724 阻力:1620, 1600

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Currencies Hit Record Levels Against USD

As risk appetites move ever lower and the US dollar soars, sovereign currencies are seeing the effects of global economic uncertainty. The pound has hit a record low against the greenback after the UK government introduced a new stimulus package just after the appointment of conservative party candidate Liz Truss as Prime …

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英镑跌至37年来的低点

市场焦点 美国股市上周五大幅下挫,在风险厌恶的市场情绪和美元飙升的情况下,受到沉重的看跌压力,出现了日跌幅。英国提升经济的计划加剧了对通胀加剧的担忧,并增加了对全球经济衰退的担忧。Liz Truss的英国新政府推出了自1972年以来最全面的减税措施,因为英国央行正在努力控制通货膨胀。当天早些时候,英国的数据显示,9月初私营部门的商业活动继续收缩,综合PMI初值从8月份的49.6降至48.4,低于市场预期的49。此外,美联储在周三决定将利率提高0.75%,并为再次提高120个基点敞开大门,这也重新点燃了美国经济衰退的担忧。在欧元区,欧元区9月制造业PMI为48.5,9月进一步陷入萎缩,低于市场预期。 标准普尔500指数和道琼斯工业平均指数周五双双下跌,因为在全球经济衰退的担忧升级的情况下,市场上风险较高的角落里的抛售活动加深了。标准普尔500指数下跌了1.7%,道琼斯工业平均指数当天也下跌了1.6%。标准普尔500指数的所有11个板块都保持在负面区域,其中能源板块和消费类板块在所有组别中表现最差,分别下跌6.75%和2.29%。同时,纳斯达克100指数回落了1.7%,MSCI世界指数下跌了2.1%。 主要货币 美元上周五飙升,延续日内涨势,并在美国交易时段在风险厌恶的市场氛围中刷新了113.0关口上方的20年高点。美联储积极的紧缩周期和英国支持经济的计划都为避险绿盘提供了强有力的支持,因为交易员担心美联储的激进行为会使美国经济陷入衰退。 英镑兑美元上周五大幅下挫,跌幅达3.60%,在避险环境中,英镑跌至1.1050水平以下的数十年新低。在英国方面,英国首相Liz Truss宣布了针对家庭和企业的能源救济方案,以帮助减缓通胀。同时,在美元全面走强的情况下,欧元兑美元仍然承压,并在0.970关口附近暴跌至20年低点。该货币对当天下跌了近1.50%。 黄金在美国交易时段刷新1687美元关口以下的两年低点后,全天下跌1.65%,因为美元走强和美国国债收益率上升都对这种避险金属施加了看跌压力。与此同时,WTI石油在跌至78.0美元附近的日低后进一步回落,日内跌幅为5.02%,因为交易员预计在美国联邦储备委员会决定加息后,石油需求将减少。 技术分析 1)欧元兑美元(EURUSD;4小时图) 欧元兑美元下跌,因为绿币重新获得了需求。23日欧洲交易时段公布的德国PMI显示,与上个月的数据相比,该数据有所下降。较低的PMI可能是未来欧盟经济的一个警告信号–在能源成本上升和通货膨胀上升的情况下,结构性增长放缓。欧洲央行在9月14日的会议上提高了利率,但市场对欧洲央行的鹰派行动反应不佳,因为私营部门的购买活动已经进入下降阶段,而通货膨胀没有出现实质性下降。相比之下,虽然美联储今年第四次加息,但美国的PMI数据已经上升到49.3,而8月份为44.6,显示出私营部门的强劲,尽管有收缩的货币政策,经济仍然在扩张。 在技术方面,欧元兑美元已经跌破了我们之前估计的支持水平0.98。欧元兑美元的新支撑水平现在形成于0.96左右的价格区域。截至发稿,该货币对的RSI指标位于43.33。在四小时图上,欧元兑美元目前在50、100和200日均线下方交易。 支撑:1.0011, 1.0055 阻力:0.98, 0.96 2)英镑兑美元(GBPUSD;4小时图) 由于美元在23日大涨,英镑兑美元已跌至1.09以下,并创下数十年来的新低。美国PMI数据显示为49.2,显示出美国私营部门持续增长的迹象,尽管收缩的货币政策。另一方面,英国央行22日宣布加息50个基点,而到目前为止,英国公布的经济数据都没有显示出经济可以经受住进一步加息的考验。此外,虽然新任首相Liz Truss承诺将推出补贴方案,为能源账单设置上限,但英国的财政预算自2020年初以来已经出现了赤字。此外,英国财政部长Kwasi Kwarteng已经宣布取消将企业税提高到25%的计划,以刺激私营部门–同样,这也是在扩大财政赤字。随着第四季度的临近,不断上升的信贷风险可能会使平价发挥作用。9月30日将是四个英镑牛市的关键,因为英国将公布其季度GDP数据。 在技术方面,英镑兑美元已经远远低于我们之前估计的1.12的支持水平。该货币对的下一个支持水平位于1.08的平价附近。截至发稿,英镑的RSI指标位于29.53。在四小时图上,英镑兑美元目前在其50、100和200日均线下方交易。 支撑:1.1561, 1.1854 阻力:1.12, 1.08 3)黄金(XAUUSD;4小时图) 以美元计价的黄金在上个交易日中暴跌。飙升的美元在23日的整个交易时段施加了巨大的卖压。尽管东欧和南中国海的紧张局势不断加剧,但由于市场参与者试图在其他资产中寻找能够提供任何类型的收益率,黄金无法找到需求。23日美国交易时段公布的美国PMI数据好于预期,引发了黄金的进一步抛售。美国10年期国债基准收益率在22日超过3.7%后,23日已降温至3.685%。在经济方面,美国将于29日公布GDP数据,英国将于30日公布GDP数据。 在技术方面,黄金已经跌破了我们之前估计的1660美元/盎司的支撑位,并且正在向1600美元/盎司的二级支撑位前进。截至发稿时,黄金的RSI指标位于44.6的位置。在四小时图上,XAUUSD目前在50、100和200日均线下方交易。 支撑:1695, 1724 阻力:1640, 1600

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Google Fined in South Korea and Europe

Google will be fined $4.12 billion in its antitrust suit with the EU, which describes an accusation that Google uses its Android OS to quash competition. However, the fine has been reduced from the original 4.34 billion euros, proposed in 2018, to 4.125 billion euros. This is the third EU fine for …

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US to Place Cap on Russian Oil

The US will be joining its G7 peers in placing a price cap on crude coming out of Russia in a bid to both limit the Kremlin’s ability to fund its war, while cooling inflation and oil prices. The price cap has been set to take effect 5 December, the same time …

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G7 Backs Price Cap on Russian Oil

The Group of Seven, 7 of the world’s richest countries, has agreed to put a global price cap on Russian oil, potentially cooling oil prices while hitting the revenue of Russia. The cap is planned to be enacted around the same time as the EU sanctions on Russian oil, which will come …

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ADP Nonfarm Underperforms Ahead of NFP

On Wednesday (GMT+3) 31st August, the ADP US Nonfarm Employment figures were released after a 2-month hiatus. According to the ADP, US private payrolls grew by 132,000 – down from the 268,000 in July and the forecasted 300,000 increase. The ADP took a two-month hiatus to revise its methodology and released June, …

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Congress Passes Inflation Reduction Act

Despite its name, the Inflation Reduction Act does not, nor is it meant to ease inflation. Instead, the broadly-named $750 billion bill covers health care, taxes, and climate change in what president Joe Biden called a win for the American people and a loss for special interests. Some of the primary constituents …

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FOMC Minutes Reveals Fed’s Inflation Fears

On Wednesday, 17 August (GMT+3), the Federal Open Market Committee (FOMC) released the minutes for its 26-27 July meeting. In it, the Fed has finally decided to take a step back to assess the effects of aggressive monetary tightening. For the past few rate hikes, which saw increases as high as 75 …

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Cooling US CPI Numbers Give Hope for Soft Landing 

On Tuesday evening (GMT+3), the US Consumer Price Index (CPI) for July was released, showing a year-on-year growth of 8.5% – lower than the expected growth of 8.7% and the previous month’s increase of 9.1%. Core CPI, which excludes volatile categories like food and energy, comes in at an increase of 0.3% …

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Is This Little-Known Hong Kong Tech Company the Next Meme Stock?

AMTD Digital, a little-known fintech company based in Hong Kong and listed on the NYSE (HKD) surged over 1500% in five days during last week’s trading. Since its IPO earlier this year in July, the company’s stock has surged from US$7.80 to a high of over US$1670 for a market cap of …

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Will JOLTs Data Foreshadow Friday’s NFP?

On Tuesday evening (GMT+3), the US JOLTs Job Openings data was released, showing 10.689 million job openings, lower than the expected 11 million and the previous month’s value of 11.303 million. This is also the lowest in 9 months.  Robert Frick, corporate economist at Navy Federal Credit Union, notes: “Fewer openings likely …

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Debate on Recession Continues

With the most recent US GDP figures (-0.9%) showing a second back-to-back negative reading, many are saying that the US has entered a recession. This comes after another recession indicator, an inversion of the US Treasury yield curve, began flashing several times starting in April. Most recently, interest on the 2-year note …

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US CPI Sees Yield Curve Inversion

On Wednesday afternoon (GMT+3), the US Consumer Price Index (CPI) figures for June were released, showing that consumer prices grew by 9.1% year-on-year, the fastest pace of inflation growth since November 1981. This is higher than the forecast of 8.8% and May’s figure of 8.6%. Meanwhile, Core CPI increased 0.7% month-on-month, higher …

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Crude Tumbles On Recession Fears and Biden’s Petrol Tax Holiday

On Wednesday afternoon, 22 June, Fed Chairman Jerome Powell made his semi-annual testimony to the Senate Banking Committee. In his testimony, Powell highlighted that the Fed was “strongly committed” to bringing down inflation and that the American economy is in a strong position to handle the continued rate hikes. However, Powell has …

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Fed’s 75 Point Hike Boosts Equity Markets

On Wednesday evening (GMT+3), the US Federal Reserve announced a rate hike of 0.75% or 75 basis points, up from the last rate hike of 50 points. This is the largest Fed interest rate hike in 28 years, and brings the benchmark interest rate to between 1.50% – 1.75%, a number last …

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Oil Rises Despite EIA Crude Oil Inventory Increase

On Wednesday evening (GMT+3), the US EIA Crude Oil Inventories data was released. For the Week of 3 June, US inventories of crude increased by 2.025 million barrels. This is compared to the forecasted draw of 1.917 million, and the previous week’s draw of 5.068 million.  Meanwhile, distillate inventories saw a rise …

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Positive Manufacturing PMI Buoys Dollar

On Wednesday evening (GMT+3), the US ISM Manufacturing Purchasing Managers‘ Index (PMI) figure for May was released. May showed a reading of 56.1, higher than the forecasted 54.5 and the previous month’s value of 55.4. The ISM Manufacturing PMI measures product demand from over 300 key manufacturers in the US and is …

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ECB To End 8 Years of Negative Interest Rates

On Wednesday morning (GMT+3), Germany released its quarter-on-quarter GDP figures. The 0.2% increase was exactly in line with forecasts, while an increase from the previous quarters -0.3%. Year-on-year growth for Q1 stands at 3.8%, up from the forecasted 3.7%. Earlier in the week on Tuesday, European Central Bank (ECB) president Christine Lagarde …

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Poor Retailer Earnings Lead Another US Stock Rout

US shares saw their largest rout in almost two years as investors exited equities on the back of poor retailer earnings results and inflation fears. Trading hours on Wednesday saw the Dow Jones Industrial Average lose 3.57% to close at 31490.07, the S&P 500 drop 4.04% to close at 3923.68, and the …

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Russia Cuts Gas to Poland and Bulgaria

Gazprom, the Russian state-controlled energy giant, has announced that it has cut off supplies of natural gas to Poland and Bulgaria. The move is the first of its kind to result from the Kremlin’s insistence that “unfriendly countries” pay for Russian energy in rubles. Russia’s currency plunged into freefall at the onset …

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An Imminent Global Food Crisis?

Russia’s war in Ukraine has had a profound effect on global food distribution, and world leaders are anxious to address any coming issues. US Treasury Secretary Janet Yellen will be meeting ministers from industrial nations – including IMF leaders and G7 members – around the world to address the growing food supply …

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8 Million EIA Inventory Drop Sends Crude Prices Up

On Wednesday (GMT+3), the US Energy Information Administration reported a large decrease of 8.02 million barrels in its crude oil inventories, bringing its current inventory to 413.7 million barrels. The numbers are far from the forecasted increase of 2.471 million barrels, and last week’s increase of 9.382 million. Meanwhile, gasoline inventories see …

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OPEC: Russian Crude “Nearly Impossible” to Replace

The Organisation of Petroleum Exporting Countries (OPEC) has warned that it would not be possible to replace the 7 million barrels of Russian oil and other liquid exports that will potentially be lost each day due to current and future sanctions. While the EU has not yet banned imports of Russian energy, …

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Huge EIA Inventory Increase Fails to Soothe Oil Prices

On Wednesday (GMT+3), the US Energy Information Administration reported an increase in 9.382 million barrels in its crude oil inventories. This is significantly higher than both the estimated increase of 863,000 barrels, and the previous number of 2.421 million barrels. An increase in inventories usually implies weaker demand and would be bearish …

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Singapore Increasingly Seen as Safe Haven For Chinese Wealth

As Beijing’s crackdown on the country’s wealthy continues under president Xi Jinping’s “common prosperity” policy, an increasing number of China’s affluent are moving their money to Singapore and setting up family offices. Singapore’s attractiveness stems from its large Chinese-speaking population, lack of wealth tax, and relative proximity. The trend started in 2019 …

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US ADP Nonfarm Data Points To Half-Point Rate Hike

On Wednesday afternoon March 30 (GMT+3), the US ADP Nonfarm Employment Change data reported an increase in 455,000 jobs. This figure is slightyly more than the expected increase of 450,000, and down from the previous month’s value of 486,000. While higher than expected, March’s ADP Employment numbers are still the lowest seen …

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Crude Surges Amid Lower-than-expected EIA Inventories

On Wednesday evening March 23 (GMT+3), the US Energy Information Administration (EIA) reported a decrease of 2.508 million barrels in its crude oil inventories for the week of 18 March. This is in contrast to the forecasted increase of 0.114m barrels, and the previous increase of 4.345M. Meanwhile, a disruption in the …

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China Sees Worst Covid-19 Outbreak Since Pandemic Start

28 of China’s 31 provinces have recently seen an outbreak of the highly-infectious Omicron variant of the coronavirus. With over 15,000 infected, this is the largest outbreak China has seen since the initial wave of the virus. The recent outbreak has hit major cities including Shanghai and Shenzhen. Dongguan city, the fifth-largest …

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Gold Steadies as Fed Increases Interest Rate By Expected 0.25%

On Wednesday, 16 March, the US Federal Reserve made the long-awaited decision to raise interest rates to combat surging inflation. As per the market’s expectations, the Fed raised rates by 25 basis points. The 0.25% rate hike was voted on almost unanimously by policymakers, except St Louis Fed president James Bullard, who voted …

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The Psychology of Trading

When trading, the two most common and dangerous emotions are fear and greed. Fear and greed can ruin even the best trading strategies. A single moment of fear or greed and lose your months of hard-earned profits. Having discipline and keeping your emotions under control is an invaluable skill in trading. Greed …

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Technical Analysis: Chart Patterns

Traders believe that the underlying theory behind chart patterns is that various shapes, or patterns, repeatedly show up on charts, and highlight various trends that can present trading opportunities. The most common chart patterns are: Symmetrical TrianglesAscending TrianglesDescending TrianglesDouble TopDouble BottomHead and ShouldersReverse Head and Shoulders Symmetrical Triangles A neutral continuation pattern …

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The Basics Of Technical Analysis

In the fast-paced world of the financial markets, understanding the dynamics of price movements is crucial for traders and investors. This is where technical analysis comes into play. By examining historical market data, technical analysis empowers individuals to decipher patterns and trends, enabling them to make informed decisions about buying and selling …

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The Basics Of Fundamental Analysis

When formulating a trading strategy, traders employ various tools that can be broadly classified into two types of analysis methods: technical analysis and fundamental analysis. Although there are differing opinions on each approach, there is no definitive answer as to which trading strategy is “superior.” Each analysis method has its own advantages, …

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The Main Market Categories

Bullion Bullion refers to the physical gold and silver of high purity. The demand for bullion isn’t driven only by their practical use, but also by their role as investments and a store of value. Paper currencies come with all sorts of problems, like the risk of inflation in times of political …

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Chinese tech companies bullish on the metaverse

Despite the regulatory risks, Chinese tech companies are doubling down on their bets on the metaverse, ranking in the top among companies filing for NFT and metaverse-related trademarks and patents. In 2021 and 2020, Tencent filed a total of 4085 patents while Baidu filed 3094, taking second and third places respectively behind …

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Markets Build Risk Appetite as ADP Nonfarm Exceeds Expectations

On Wednesday, 15:15 (GMT+2), data for the February US ADP Nonfarm Employment Change was released. At 475,000, the number beat out the market estimate of 378K, although it is still lower than the previous month’s 509,000. Broken down, February’s numbers indicate a significant employment drop of 96,000 in small businesses, although overall …

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Russia invades Ukraine

On Thursday, 24 February, Russian forces entered neighbouring Ukraine, sparking what some are calling the largest conflict in Europe since World War 2. Land, sea, and air forces have been sent into Ukrainian space, with the country’s foreign minister saying that the country’s capital, Kyiv, has been hit by Russian rocket strikes. …

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Gold Surges as Geopolitical Tension in Eastern Europe Rises to New Heights

Rising geopolitical tensions between Russia and the West, combined with the effects of booming worldwide inflation, has caused the price of gold to soar. The precious metal is trading at its highest prices in over a year as investors seek the safe-haven asset in response to Putin’s increasing belligerent stance against Ukraine; …

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Russian Invasion of Ukraine Imminent

Months of geopolitical tension between Russia and Ukraine have mounted to a pitch as governments around the world begin taking action. The US relocated its embassy in the Ukrainian capital of Kyiv to the western city of Lviv in response to the “dramatic acceleration” of buildup in Russian forces on Ukraine’s border. …

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Unexpected Fed Dovishness Causes USD Drop and Gold Rise

On Wednesday evening (GMT+2), the US Federal Reserve released its meeting minutes, revealing its plans for interest rate hikes, as well as a “significant reduction” in asset holdings in response to spreading inflation. However, while its outward tone might seem hawkish, the details of the minutes lacked bite without any clear signals …

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The Importance of Having a Reliable Online Broker

Now that you’ve decided to embark on your investment journey, it’s time to pick a broker or trading platform with which to conduct your investments through. There will be a large number of options to choose from, with most offering some kind of incentive to register, from deposit bonuses to low trading …

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How Can You Deal with a Bear Market?

Like the tides, the financial markets wax and wane. It’s all part of the natural cycles of the financial system since no bull market can last forever. A bear market is usually defined as a 20% or more drop of a major stock index. While the index most commonly used as the …

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由于短期债券收益率上升以及市场参与者对比预期更糟糕的消费者信心报告的反应,美国股市普遍出现回调

市场焦点 周二美国股市暴跌,创下5月以来的最大跌幅。对华盛顿债务上限僵局的担忧加剧了风险资产的抛售。共和党人在参议院阻止了民主党人提高债务上限的举措,尽管距离财政部可能耗尽产能只有不到三周的时间—大约在10月18日。因此,政府停运是未来几周投资者密切关注的一个风险因素。 基准指数标准普尔500指数和道琼斯指数周二双双下跌。标准普尔500指数日均下跌0.2%,延续了9月份的抛售势头。能源板块继续保持看涨势头,周二上涨了0.46%。信息技术和通信服务板块的表现最差,分别下跌了2.98%和2.8%。纳斯达克指数也出现了3月份以来的最大跌幅,当日下跌2.8%。 除了对联邦政府支付违约的担忧,美国参议员伊丽莎白·沃伦(Elizabeth Warren)还称美联储主席杰罗姆·鲍威尔是“危险人物”,称她将反对再次提名鲍威尔,这也拖累了市场情绪。此外,美国9月份消费者信心连续第三个月下降,表明人们仍对新冠肺炎的Delta变种病毒感到担忧。价格上涨也继续打击市场信心。与此同时,飙升的能源价格继续推高通胀,意味着经济复苏。 主要货币 由于短期债券收益率上升以及市场参与者对比预期更糟糕的消费者信心报告的反应,美国股市普遍出现回调。财政部长珍妮特·耶伦(Janet Yellen)告诉国会,政府可能在10月18日前达到借款上限,短期债券收益率受到了潜在延期付款的影响。理论上,债券收益率上升应该会让美元走强。但事实上,衡量美元兑一篮子主要货币的美元指数,已经连续第三天上涨。 由于酝酿中的“避险”情绪和收益率上升,美元走强,大多数货币兑美元汇率下跌。由于国内困境仍在继续,英镑苦苦挣扎,美元在整个交易日走强。因英镑受到冲击,英镑兑日元跌至新的周低点。随着美元成为首选避险资产,黄金继续下跌。 技术分析 英镑兑美元(GBPUSD;4小时图) 英镑在周二的交易中暴跌,由于美元在美国短期债券收益率飙升的背景下走强,英镑兑美元下跌超过1%。英镑跌至7月份以来的最低水平,截止发稿时,该货币对交易于1.3536。由于最近英国燃料供应中断,对英镑短期前景的担忧加剧。同样重要的是要注意,英国央行行长贝利昨天的讲话揭示了对劳动力市场复苏慢于预期的担忧,因此,如果复苏信号显示疲软,英国央行最近的鹰派基调可能再次转向温和派。 从技术角度来看,英镑突破了1.3665和1.3603的两个支撑位。截止本文撰写之时,该货币对似乎已经在1.352价格区域附近找到了支撑。该货币对的RSI指标为27,表明强烈的过度抛售。英镑的交易价格低于50、100和200日的简单移动均线。 阻力:1.3687, 1.3717 支撑:1.35281, 1.3446 英镑兑日元(GBPJPY;4小时图) 避险情绪推动了英镑兑日元;然而,投机者现在押注的是英国央行的鹰派立场,以及在美联储可能加息之前的加息上。最终,英国央行的鹰派态度帮助遏制了该货币对的亏损。另一方面,英镑则持续遭遇强劲阻力。燃料供应中断以及欧洲和中国能源危机加剧,阻碍了英镑的上行。 从技术角度来看,英镑兑日元抹去了昨天大部分涨幅,目前交易价格接近关键支撑位150。该货币对是RSI指标为46.4,表明市场处于中性状态。英镑兑日元的交易价格低于50、100简单移动均线,但高于200简单移动均线。 阻力:151.356, 152.555, 153.2886 支撑:150.602, 150.168, 149.129 黄金(XAUUSD;4小时图) 黄金在周二的交易中受到影响,因为美元在美国债券收益率上升和鹰派美联储的支持下继续走强。黄金盘中一度下跌0.8%,跌幅归因于黄金购买疲软、市场情绪略微“脱离风险”,以及随着短期债券收益率上升,投资者涌向避险的美元。投资者将期待美联储主席杰罗姆·鲍威尔定于明天晚些时候的讲话,因为它可能会给黄金带来进一步的波动。 从技术角度来看,黄金已经跌破我们先前估计的1742.39的支撑位,并正在向下一个即时支撑位1725.21下跌。黄金的RSI指标为37,表明买入情绪悲观。黄金的交易价格低于其50、100和200日的简单移动均线。 阻力:1759.27, 1779.04, 1808.42 支撑:1742.39, 1725.51

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PUPRIME针对“山寨网站”发布官方声明

尊敬的用户: PUPRIME通过多年来持续不断地优化交易产品,和全方位的专业服务,得到了世界各地客户对我们的信任和支持,在此,PUPRIME表示衷心的感谢! 但随着我们影响力与知名度的不断提升,近期出现了两家“山寨网站”,误导客户,获取不法利益。 这两个山寨网站分别为: https://www.defiinvestmentslimited.com/?fbclid=IwAR14gKLmlAMvZWAd-ijdeYd-eLvOo_xrY7RAxtoVckMwHGNHl-rJImwMd-8 和https://www.smartcontractslimited.com/ 基于以上情况,为了维护广大客户的经济利益及本公司的合法权益,我们严正声明:仅有https://www.puprime.com/ 和 https://www.puprime.net/为PUPRIME 的官方网站,其他网站均为山寨网站,请提防并避免与其“山寨网站”进行任何交易或入金等操作。 其次,对于“山寨网站”的不法经营者,PUPRIME表示强烈抵制,并保留依法追究法律责任的权利。 最后,请大家务必识别PUPRIME的官方网站界面及品牌LOGO,防止山寨网站为您带来不必要的损失。此外,如发现任何假冒PUPRIME的山寨网站,请与我们联系,对此我们表示诚挚感谢。 如果您有任何疑问或需要任何帮助,请通过在线客服、电子邮件 [email protected] 或致电+248 4671 948与我们的团队联系。 感谢您的支持!PACIFIC UNION团队

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由于对存储芯片市场的担忧,微米技术公司导致芯片制造商股价下跌

市场焦点 尽管标准普尔500指数进入自新冠疫情扰乱全球金融市场之前以来最窄的交易区间,但美股仍然创下另一个历史新高。医疗保健和科技股推动标准普尔股市连续第三个交易日创下收盘新高,这也是今年第47次。由于对存储芯片市场的担忧,微米技术(Micron Technology)导致芯片制造商股价下跌。出于谨慎情绪,纳斯达克指数上涨0.35%,道琼斯指数仅上涨0.04%。 美国联邦贸易委员会负责人表示,反垄断执法人员应该更频繁的采取行动,阻止那些威胁竞争的合并,而不是依靠传统的补救措施来修复交易,然后批准交易,这一观点可能会对国防巨头洛克希德·马丁公司(Lockheed Martin Corp.)的一项重大收购产生影响。 联邦贸易委员会主席莉娜·汗(Lina Khan)在给马萨诸塞州参议院伊丽莎白·沃伦(Elizabeth Warren)的一封信中,概述了她对司法部和联邦贸易委员会在解决合并调查中使用共同措施的担忧,沃伦曾就国防行业的交易致函该机构。 在美国联邦贸易委员会发表上述言论之际,其正在调查洛克希德公司(Lockheed)以44亿美元收购Aerojet Rocketdyne控股有限公司的交易,这笔收购被视为对总统乔·拜登是否会控制国防承包商之间合并的早期测试。 汗说,她对对公司经营方式施加条件的做法持怀疑态度,这种做法被称为行为补救措施,但她也说,资产剥离是公司赢得并购批准的最常见方式,可能会有问题。 主要货币 随着市场情绪的恶化,美元兑多数竞主要争对手货币都有所上涨。高于预期的美国生产这价格指数(PPI)引发了人们对于通胀升温和美联储温和态度可能做出反应的担忧。尽管如此,美元的涨势不温不火且不均衡。 欧元兑美元和美元兑日元徘徊在熟悉的水平附近,而英镑从1.3800处反弹,并在撰写本文时略高于该水平。随着加元向北延伸,与大宗商品挂钩的货币相对于美元失去了优势,两种货币均小幅走低。总的来说,货币跟随华尔街的脚步,尽管华尔街看起来在收益和损失之间徘徊,且最终以亏损告终。 黄金日交易价格保持不变,周五开盘在每盎司1750美元处交易。原油价格小幅下跌,WTI未能突破70.00美元的阻力位,当日收于68.90美元。布伦特原油价格为71.15美元。美国债券收益率收盘时好坏参半。10年期美国国债结算利率为1.36%。 技术分析 美元兑瑞士法郎(USDCHF;4小时图) 由于投资者忽略了生产者价格指数(PPI)从6月份的7.3%上升至7月份的7.8%,高于预期,美元兑瑞士法郎将上行牵引力扩大至0.92,并领先于一个月长的峰值,截止发稿时,该货币对稳定在0.9235,上涨了0.16%。与此同时,基准的10年期美国国债收益率周四徘徊在2%以上,进一步推动了该货币对在积极的领域保持不变。市场数据显示,密歇根州8月消费者情绪指数将出现在美国经济目录中。 在技术方面,RSI指标从一个过度买入的区域回落至69,表明前方看涨情绪火热。在移动均线方面,15和60长期简单移动均线均向北移动。 鉴于上述情况,我们预计市场正在面临基于价格行动的强大阻力0.925。另一方面,RSI指标仍然显示出一种近乎过度购买的情绪,如果市场连续上涨,那么势头将会减弱。因此,如果价格能够继续保持在第一个支撑位之上,市场将在0.9208至0.925之间的区间震荡。相比之下,很难找到一个价格集群来支撑下行。所以,如果价格未能捍卫第一个短期支撑,那么价格将向更低阶段前进。 阻力:0.925, 0.927 支撑:0.9208, 0.9197, 0.915 欧元兑美元(EURUSD;4小时图) 欧元兑美元显示见底于1.721,随后反弹至上行,减少损失。在一个平静的交易日,该货币对会升值1.173上方。它仍处于负区间,但在低点之外,美元的势头消失了。美元指数当天仍在上涨,但它在93阈值上缓慢波动,因为美元在美国首次申请失业救济人数按预期将至37.5万人后见顶,同时自疫情以来首次跌破300万人。 从技术角度来看,RSI指标从过度寻找的领域中恢复,并稳定在39,表明未来的看跌势头。移动均线方面,15和60长期简单移动均线均向负向发展。 如前所述,我们预计如果价格跌破1.1755,市场势头将把它拖到1.17的低点。在日间市场,我们看到欧元在1.1755被关键的上方阻力阻挡,然后其头部稍微向下。总之,我们预计1.17将是禁止买家的最终支持水平。如果突破1.17水平,那么价格将提前到较低阶段。 阻力:1.1755, 1.18, 1.185 支撑:1.17 美元兑加元(USDCAD;4小时图) 美元兑加元在美国交易时段小幅走高,最后一次出现上涨是在当日,上涨了0.22%,至1.2526水平。尽管经历了两天的下跌后出现了复苏,但由于缺乏高层次的宏观经济数据发布,结对交易收到了限制。另一方面,原油价格在每桶69美元以下交易,未能对大宗商品挂钩的加元提供方向线索。 技术面来看,截止发稿时,RSI指标稳定在49,暗示小幅看跌但缺乏方向。在移动均线方面,15长期简单移动均线倾斜至逆风动量,60长期简单移动均线则显示向北。 总而言之,我们认为市场停留在1.2485至1.2587的适度区间。在上行方面,我们看到1.2587如同在轻微图案的领口处一样是关键阻力。在下行方面,短期内将着眼于1.2485,之后将是1.2425的关键支撑位。 阻力:1.2587, 1.2733, 1.28 支撑:1.2485, 1.2425, 1.23

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在新冠病毒变种Delta病毒给经济复苏蒙上阴影之后,投资者涌入避险资产,全球股市暴跌,同时美国和中国之间的紧张局势升级

市场焦点 在新冠病毒变种Delta病毒给经济复苏蒙上阴影之后,投资者涌入避险资产,全球股市暴跌,同时美国和中国之间的紧张局势升级。推动今年股市上涨的重新开放较易出现逆转,周期性公司在周一的暴跌中首当其冲。大宗商品、金融和工业股导致标准普尔500指数下跌,创下两个月以来的最大跌幅。道琼斯工业平均指数创下10月以来的最大跌幅,而小型股则从3月份的峰值下滑至近10%。在最近暴跌至疫情前的水平后,CBOE波动指数(VIX)飙升。 新冠肺炎的复苏令全球投资者感到不安,他们正在考虑新的封锁限制是否回削弱经济反弹,并扭转曾推动股市创纪录的股市反弹。约翰·汉考克投资管理公司(John Hancock Investment Management)的联合首席投资策略师马特·米斯金(Matt Miskin)告诉彭博电视台,转向例如美国国债等“高质量资产”是合理的。美国政府以及卫生官员警告称,美国人应该避免去英国旅行,因为英国的新冠肺炎感染病例激增。 Oanda高级市场分析师爱德华·莫亚(Edward Moya)写道:“风险厌恶情绪牢牢占据了上风,因为新冠病毒的Delta变种的扩散正在引发人们逃往安全地带。”股市回调的时机已经成熟,因此华尔街一致认为,“对于峰值收益、经济增长和货币刺激来说,这是’最好的结果’。现在很难在短期内持有风险资产。” 美国、英国及其盟友表示,中国政府是针对公共和私人实体的一系列恶意软件、数据窃取和网络间谍攻击的幕后策划者,包括今年早些时候蔓延的黑客攻击微软交易所,此后地缘政治紧张局势周一再次浮出水面。 主要货币 随着避险情绪在全球市场蔓延,美元指数逼近93.00水平,除了日元之外,美元击败了多数主要竞争对手,日元也受到了避险情绪的提振。而周五即将到来的夏季奥运会可能也是一个强有力的催化剂。 欧元在欧洲早盘暴跌,并在美国交易时间开启后收复部分失地,以轻微下跌结束一天;由于股票和大宗商品表现不佳,与大宗商品挂钩的货币暴跌。因为加元受到油价严重下跌的影响,两种对映货币均下跌超过0.5%,而加元飙升超过1%。 英镑经历了巨大的暴跌,主要是由于英国脱欧的悲观新闻。周末的消息表明,英国将要求欧盟在北爱尔兰议定书上有更大的灵活性。据说英国脱欧大臣大卫·弗罗斯特(David Frost)本周准备就此事发表声明。当被问及议定书时,弗罗斯特说,由于北爱尔兰的特殊情况,它将永远是一项条约,并补充说,“这个问题是它的内容是什么。” 美国10年期国债收益率自2月份以来首次跌破1.200%。金价波动较大,黄金一度跌破每盎司1800美元,但当天收盘小幅上涨。市场情绪低迷,欧佩克+最终达成增产协议,加之需求放缓,原油价格暴跌。WTI原油价格为每桶66.30美元,布伦特原油价格为68.90美元。 技术分析 英镑兑美元(GBPUSD;4小时图) 英镑一度跌至日低点1.3654,这一水平是2021年2月的最后一个点位。目前,因市场担心病毒变种出现时失控,而英国正在遭受脱欧灾难,美元从避险需求中徘徊。周末的消息显示,英国将要求欧盟在北爱尔兰议定书上具有更大的灵活性。此外,由于英国在自由日取消了大多数的疫情限制,报告了大约40例新的感染病例和10例死亡病例。从技术层面来看,RSI指标已经跌破30,这表明英镑正陷入极度追捧情绪。另一方面,15和60简单移动均线在早些时候出现了死亡交叉,这也削弱了上行势头。 如果市场持续下跌,我们预计下一个下行支撑位将在1.36处被找到,并为心理支撑位。然而,随着一天市场的过度暴跌,并达到了过度寻求的领域,我们不能排除市场将获得轻微反弹。因此,第一个阻力设置在价格集群区的1.3745,这也是最后一个盘整格局期间的关键支撑位。 阻力:1.3745, 1.3896 支撑:1.3665, 1.36 澳元兑美元(AUDUSD;4小时图) 澳大利亚受到病毒变种引发的避险情绪的严重冲击,随后,在州长延长封锁措施以遏制新冠疫情爆发后,澳元跌至7个多月来的最低点,泛大宗商品市场也面临着严峻的行势。铜期货市场盘中下跌超过2.8%,其他工业金属也表现低迷。从技术角度来看,尽管RSI指标达到创纪录的31.6,但该货币对仍是至关重要的。与此同时,15和60长期简单移动均线保持下降的方式。在下行方面,如果该货币对未能在0.7323的近期低点上方交易,它可能会将第一个更低的阶段移交给低于0.7300的水平。 阻力:0.7415, 0.7492 支撑:0.7323, 0.73 美元兑日元(USDJPY;4小时图) 日本日元一度跌至109.06水平,这是自5月26日以来的最后一次,原因是市场受到风险规避模式的推动,而对病毒变种的担忧情绪上升。与此同时,道琼斯指数下跌超过900点,为今年最大的单日跌幅,因美国通胀数据升温引发市场猜测美联储将比预期更早的撤销货币化支持。美国国债收益率以压倒性优势升至1.176,日内收缩约1.2%。日本将在即将到来的亚洲时段发布国家通胀数据。 从技术层面来看,RSI指标显示为35,表明在短期内徘徊在上升势头,但仍处于看跌预期之下。除此之外,15和60长期简单移动均线指标保持下降趋势。鉴于上述建议,我们仍预计日元将至少在短期内延续看跌走势。在下行方面,我们预见109.36将是第一个即时支撑,如果突破第一个支点支撑,日元将向109.04水平移动。 阻力:109.713, 110.1571 支撑:109.36, 109.04

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周三美元指数收于绿色,但由于FOMC会议记录平淡,收盘前部分涨幅回落

市场焦点 周三股市授予创纪录水平,收盘时震荡走高,此前FOMV6月份的会议纪要显示,在收回危机时期货币政策的时机上存在分歧。纳斯达克指数上涨0.01%,涨幅为+1.42,以及标准普尔500指数也在盘中和收盘时均创下历史新高,这是由科技股的复苏带动的。道指也上涨了约0.30%,即涨至104.42点。 拜登设定了一个目标,即在7月4日之前70%的美国成年人至少接种一针新冠肺炎疫苗,这是对独立日的象征性认可。尽管疫苗供应充足,但他还是没有达到目标,这主要是因为政府一直努力在农村以及非常保守的地区发放疫苗。 现在变种病毒Delta正在扩散。虽然在美国各地都有发现,但疫苗接种较少的地区成了多发地,例如密苏里州南部。截至6月27日,自美国开始注射疫苗以来,新冠肺炎在接种疫苗较少的地方的住院率首次超过了接种人口比例最高的地方。 对那些拒绝接种疫苗的人来说,最担心的就是疫苗的副作用。密苏里州南部远没有达到拜登提出的接种目标,即使达到了,也可能不足以阻止达美航空的发展,该公司总裁兼首席执行官史蒂夫·爱德华兹(Steve Edwards)如是说道,因为其在该地区经营着六家医院。 主要货币 周三美元指数收于绿色,但由于FOMC会议记录平淡,收盘前部分涨幅回落。该文件显示,美联储官员认为,调整货币政策所需的“实质性进一步进展”标准尚未达到,并补充称,多名FOMC成员判断,他们的通胀预期面临的风险在向好的方面倾斜。总的来说,这份文件没有就缩减规模的时间提供任何线索,但表明了一些政策制订者认为,在最新数据公布后,经济前景的不确定性有所上升。 由于德国工业数据低于预期,欧元收于1.1790。加元进一步向北延伸,截至写稿时在1.2488处进行交易。随着澳元跌至0.748水平,货币对向不同方向移动,而新西兰元则以0.7015的微弱涨幅收盘。 英镑以小幅上涨结束了这一天,而英国报告了超过32000例的新冠肺炎感染病例,这是自1月份以来最大的单日增长。然而,陷入危机状况或死亡的人数很少,这反映了免疫运动的有效性。到目前为止,没有消息表明限制性措施将在7月19日以后继续维持。 美国十年期国债收益率仍面临抛售压力,触及1.29%的盘中低点。金价连续第六天上涨,随着美国时段的结束,黄金的交易价格约为每盎司1804美元。周三,原油价格面临强大的抛售压力,美国基准油价创下每桶71.05美元的两周心底,为6月中旬以来的最低水平。WTI在收盘前反弹,收于72美元。布伦特原油目前为73.24美元。 技术分析 黄金(XAUUSD;日线图) 在FOMC会议纪要以及美国国债收益率下降之前,黄金徘徊在1800点左右。从技术方面来看,随着连续几天的积极走势形成上升趋势,主导势头似乎在近期转向多头。此外,1802点阻力位的成功突破和布林带中线给黄金多头带来了一些希望。尽管黄金的交易价格低于50简单移动均线,但在MACD转正和RSI指标读数为中性的情况下,黄金仍有继续上行的潜力。为了重新确认黄金的看涨势头,黄金需要突破下一个即时阻力1829.14。 阻力:1829.14, 1876.18 支撑:1802, 1771.95, 1676.89 欧元兑美元(EURUSD;4小时图) 欧元兑美元在1.1800附近震荡,是FOMC会议前,且是4月以来的最低水平。从技术角度来看,在欧洲时段未能突破1.1837的阻力位后,欧元兑美元的主导前景在4小时图表上看起来是看空的。此外,下跌也受到负MACD的支撑,而该货币对远低于20和50简单移动均线。预计该货币对将继续向南延伸至1.1704;然而,由于RSI指标读数几乎为超卖,它可能会在下跌前巩固一点。 阻力:1.1837, 1.1919, 1.1985 支撑:1.1704 英镑兑美元(GBPUSD;4小时图) 作为对FOMC会议的直接反应,英镑兑美元上涨甚微。在4小时图表上,英镑兑美元在美国时段停留在1.3800水平之上。短期前景看起来将转为积极,因为该货币对已经突破了下降趋势线,标志着从看跌到看涨的逆转。看涨的势头将确认该货币对是否能在20简单移动均线以及布林带中线上方交易。在撰写本文时,包括MACD以及RSI指标在内的技术指标,似乎都缺乏方向性,因为它们都处于中性位置。 阻力:1.3926, 1.4007 支撑:1.38, 1.3675

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强劲的美国数据、delta病毒变种、美联储发言人的鹰派立场以及对周五非农就业报告健康的预期,共同帮助美元在周三维持其在金融市场的强劲表现

市场焦点 周三股市涨跌互现,标准普尔500指数连续第五个交易日上涨,收盘时再创新高。道琼斯指数上涨0.61%,至34502,但纳斯达克指数下跌0.17%,是由于其主要成分表现不佳。回顾2021年上半年,标准普尔500指数上涨约14.4%,纳斯达克指数上涨12.5%,道琼斯指数上涨12.7%。 对冲基金行业的一些大人物正在深入研究加密货币。据知情人士透露,斯蒂夫·科恩(Steve Cohen)的Point72资产管理公司正在寻求聘请一名加密货币主管,而亿万富翁乔治·索罗斯(George Soros)的家族办公室已经开始交易比特币。这些公司的发言人拒绝置评。 TheStreet.com网站早些时候报道了这些举措,与此同时,越来越多的大牌对冲基金开始涉足数字资产。Point72的竞争对手千年管理(Millennium Management)一直活跃在与加密相关的期货和交易所交易基金领域,而布雷文·霍华资产管理公司(Brevan Howard Asset Management)和宏观交易员保罗·都铎·琼斯(Paul Tudor Jones)已经开始投资加密货币。今年三月,对冲基金经理丹·勒布(Dan Loeb)表示,他正在“深入”研究加密货币。 “我们正在探索围绕区块链技术及其变革和颠覆能力的机会,” Point72在5月份写给彭博社读者中投资者的一封信表示。“我们忽视了2万亿美元的加密货币市场,这将是我们的疏忽。” 监管索罗斯基金管理公司(Soros Fund Management)的道恩·菲茨帕特里克(Dawn Fitzpatrick)在3月份接受彭博社记者埃里克·沙兹克(Erik Schatzker)采访时表示,比特币很有意思,且该公司一直在投资于加密基础设施,如交易所、资产管理公司和托管公司。 “人们真的很害怕法定货币贬值,” 菲茨帕特里克在采访中表示,这推动了加密货币的需求。“我不认为比特币是一种货币,我认为它只是一种商品”,易于储存和转移,供应量有限。但她拒绝透露自己是否拥有比特币。 主要货币 在美联储6月16日出人意料地采取鹰派立场后,美元指数从90.441上涨至迄今最高水平。美元指数触及92.448的高点,创下今年早些时候4月8日以来的最佳水平。 强劲的美国数据、delta病毒变种、美联储发言人的鹰派立场以及对周五非农就业报告健康的预期,共同帮助美元在周三维持其在金融市场的强劲表现。美联储的罗伯特·卡普兰(Robert Kaplan)重申了他的鹰派立场,并表示,“我希望在年底缩减规模。” 欧元将跌幅扩大至1.1900以下,以测试6月份1.1840价格区的低点。澳元进一步下跌,突破0.7500水平,创下0.7492的新低,而加元继续在纽约时段通过1.2400测试看跌,触及1.2421的高点,从伦敦抛售中恢复过来。 英镑稳定在1.3830,并由于英国脱欧对《北爱尔兰议定书》的担忧而受到影响。另外,英镑还面临新冠肺炎Delta病毒变体在英国扩散的不确定性的影响。本月早些时候,政府被迫推迟全面重新开放。 黄金从1750美元的两个月低点反弹,当日涨幅超过0.5%,触及1774.45美元的高点,收盘时接近1770美元。WTI原油价格从接近当日低点的72.84美元上涨,主要是受美国库存的拖累,在备受期待的OPEC+会议之前,华尔街收盘时原油价格接近73.51美元。与此同时,布伦特原油价格与WTI原油价格走势大致一致,当日收于74.64美元。 技术分析 美元兑日元(USDJPY;4小时图) 在美国时段,由于美国ADP就业数据好于预期,美元兑日元攀升至110.70上方的每日高点。在一周的大部分时间里,该货币对都在狭窄的区间内度过,今天重新获得了吸引力,在撰写本文时达到了111.09。在4小时图表中,随着该货币对在上升通道内的交易,日内偏置变得看涨,并以达到上升趋势线的顶部,这表明看涨势头已经恢复。此外,该货币对已经正式在20和50日简单移动均线上方交易,显示出看涨模式。从技术指标的角度来看,RSI指标没有到达超买区域,这意味着在调整之前,该货币对仍有进一步向北延伸的空间。从上行方面来看,如果该货币对最终突破了111.12的阻力位,那么它将为多头打开一条加速通道。 阻力:111.12 支撑:110.51, 110.14, 109.84 欧元兑美元(EURUSD;4小时图) 在美国ADP就业数据公布后,欧元兑美元跌破1.1900,跌幅超过预期。从技术角度来看,欧元兑美元仍然看跌,在撰写本文时试图挑战当前阻力位1.1837。成功突破1.1837导致该货币对将在1.1740处进入下一个水平,这是自4月以来的最低水平。在支撑位方面,如果该货币对可以维持在1.1837以上,就有机会向1.1919靠拢。从孤单起来看,随着RSI指数跌至30以下,空头预计将暂停一段时间,这是一个超卖区域,允许该货币对反弹。然而,从更大的角度来看,该货币对仍然面临压力。 阻力:1.1919, 1.1985, 1.2052 支撑:1.1837, 1.1704 英镑兑美元(GBPUSD;4小时图) 由于美元在美国乐观的ADP就业数据中走高,英镑兑美元向1.3800水平下滑。从技术角度来看,该货币对的日内偏差仍然是看跌的,因为它远低于50和100简单移动均线。RSI指标也尚未达到超卖区域,给空头更多空间进一步下跌,并向1.3787的即时支撑位迈进。在下跌方面,对1.3787点支撑位的成功测试将打开通往1.1111下一个支撑位的通道。在上行方面,如果该货币对能在1.3896上方反弹,那么它将在1.3963和1.4017处挑战下一个阻力。 阻力:1.3896, 1.3963, 1.4017, 1.4072 支撑:1.3787

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The Technical VS. Fundamental

Technical and Fundamental Analysis are both tools used by traders to help determine a trading strategy. Both fundamental and technical analysis help traders to predict possible trends and future prices. Technical Analysis; “The process of analysing a financial instrument’s historical prices and other statistics generated by market activity, in an effort to determine probable …

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Support and Resistance

Support and resistance is a concept used within technical analysis that suggests that the market price of an asset will tend to fall and rise at certain predetermined levels. SupportThe support level is the level at which the price tends to find support as It is falling; it is more likely to …

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Lagging Indicators

Moving AveragesA moving average is a type of technical indicator that traders use in order to calculate the average price of a security over a given time. There are two different types of moving averages; simple moving average [SMA] and an exponential moving average [EMA] Simple Moving Averages (SMAs)A simple moving average …

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Leading Indicators

As mentioned before leading indicators will change in advance of expected economic trends; they are often used to predict future movements but not always necessarily accurate. Now that we have discussed moving averages, an example of a lagging indicator, let us move on to the Relative Strength Index which is a type …

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Bollinger Bands

Bollinger bands is an analytical tool used by traders to identify a market’s volatility and looks at the levels of current prices relative to previous trades. We can see from the above graph that in an instance where there is little volatility the bands contract and as the market becomes increasingly volatile …

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Chart Patterns

Technical analysis, like we said before, is not just about charts. It does, however, rely heavily on them and often uses chart patterns to assist in making trading decisions. The underlying theory is that traders often expect chart patterns to repeat, and this prediction is what presents them with various trading opportunities. …

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The 3 Main Market Categories

Bullion Bullion refers to the physical gold and silver of high purity. The demand for bullion isn’t driven only by their practical use, but also by their role as investments and a store of value. Paper currencies come with all sorts of problems, like the risk of inflation in times of political …

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Getting Started

Want to be a trader, but don’t know what, how, or where to trade? This is the place to start. By the end of our trading tutorial, you’ll be empowered to begin your trading journey. To start off, you first need to understand what the financial markets are. In fact, you might …

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How to develop a trading plan

Why a trading plan is important When trading, as in most endeavors, it’s important to start at the end and work backwards to create your plan and figure out what type of trader you should be. The most successful traders trade to a plan, and may even have several plans that work …

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The advantages and disadvantages of CFD trading

Contracts for Difference or CFDs, as they are commonly referred to, are derivative instruments that enable traders to speculate on a wide range of financial markets, without taking direct ownership of the underlying asset. The contract referred to is an agreement between the buyer and the seller to exchange the difference between …

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Trading skills and common mistakes

FOREX tRading skills Before you start something new, begin with the fundamentals. Let’s look at trading tips every trader should consider before trading currency pairs. Know the Markets We cannot overstate the importance of educating yourself on the forex market. Take the time to study currency pairs and what affects them before …

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Why Should You Trade Gold

Gold has been long valued by societies all over the world for its lustre and malleability. Discover the 4 reasons why you should trade gold.  Gold trading is one of the most popular financial transactions conducted worldwide. Many forex traders also get their hands on gold trading with the aim of generating …

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How to invest in shares

Share trading refers to investing in a publicly listed company or corporation by purchasing a number of that company’s shares, also referred to as stocks. A company’s shares become available for trading once it has completed an Initial Public Offering (IPO) and can be purchased on the stock market. When share trading, …

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What is currency

Currency, or foreign exchange, often abbreviated as forex or simply FX, refers to the exchange of global currencies on a decentralised market place – also known as over the counter (OTC) currency exchange. The foreign exchange market is the largest and most liquid market in the world, with an average daily trading …

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What is day trading

Day trading is the practice of buying and selling a financial asset within a single trading day. Known as day traders, investors that follow this practice usually make use of high levels of financial leverage to maximise the profit they can earn from small market movements. Day trading is most commonly seen …

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Key Economic Announcements

Economic announcements, or new events, are a widely followed aspect of trading due to their influence on monetary as well as political policy. Therefore, it is important to know which announcements are going to create the most impact and volatility so as to take advantage of their movements. Here are some of …

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Consumer and Producer Price Indices

The Consumer Price Index (CPI) and Producer Price Index (PPI) are inflationary measures used to determine whether prices for goods and services are rising (inflation), falling (deflation when below zero or disinflation when falling but still above zero), or staying the same (since there is no particular term for this, let’s just …

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Non-Farm Payrolls

Non-Farm Payrolls (NFP) measures the amount of jobs gained in the U.S. during the previous month that aren’t farm related. It is typically released on the first Friday of the new month, and also includes the Unemployment Rate, Average Hourly Earnings, and the Participation Rate. While all of those releases can have …

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