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Due to the highly directional movement in the euro and the British pound today, I did not execute any trades using the Mean Reversion strategy. I also did not find any suitable entry opportunities using the Momentum strategy.
Given the complete uncertainty and confusion surrounding the situation in the Middle East — with the United States saying one thing and Iran stating another — as well as fairly decent data from the eurozone and extremely weak construction sector activity data from the United Kingdom, the rise of the euro and pound during the first half of the day is surprising.
Market attention will now gradually shift toward U.S. economic data. The main focus will be on initial jobless claims figures. This leading indicator of the health of the U.S. labor market — the most important component of the American economy — could determine the direction of the dollar in the second half of the day. Any significant deviation from expectations could instantly outweigh the cautious positive momentum in the euro, pound, and other risk-sensitive assets.
At the same time, speeches from members of the Federal Reserve's Federal Open Market Committee (FOMC) are expected. Remarks by Beth M. Hammack and John Williams will be closely watched. Every word and every tone regarding inflation expectations, labor market resilience, and the future path of interest rates will be carefully analyzed. A hawkish stance could allow the U.S. dollar to regain leadership.
In the event of strong economic data, I will rely on the Momentum strategy. If the market shows little reaction to the data, I will continue using the Mean Reversion strategy.
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