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Very few macroeconomic publications are scheduled for Tuesday, and none are particularly significant. In the euro area, the consumer-confidence index will be released, and in the US the weekly ADP employment report is due. Both releases are minor (third-tier) and are unlikely to provoke any market reaction. This week is light on big events overall; any notable price response is more likely to come from releases in the second half of the week.
Among Tuesday's fundamental items, several Federal Reserve officials will speak — notably Thomas Barkin and John Williams. However, the Fed met last week, raised the policy rate unanimously, and most FOMC members expect at least one more hike before year-end according to the dot-plot. Thus, the Fed's stance is already clear. Going forward, markets will be driven more by developments in the Middle East and incoming macro data than by Fed speeches.
The geopolitical backdrop remains poor. The US and Iran are not negotiating; the Strait of Hormuz remains at least partially closed; Iran-backed Houthi forces continue to blockade Saudi Arabia and attack its facilities. President Trump is expected to make a significant decision on Iran soon, though no one knows what it will be. We still see little chance of a near-term diplomatic settlement between Iran and the US.
During the second trading day of the week, currency pairs will likely try to correct again. The euro can be traded from the 1.1461–1.1474 area and the pound from the 1.3380–1.3386 area. Volatility today is likely to be low since no major events are scheduled.
Price levels (areas) of support and resistance serve as targets for opening buy or sell trades or as sources of signals.
Red lines indicate channels or trend lines that show the current trend and the preferred trading direction.
The MACD indicator (14,22,3) — the histogram and signal line — is an auxiliary indicator that can also provide signals.
Important speeches and reports (listed in the news calendar) can significantly influence currency pair movements. Therefore, during their release, traders should approach trading with utmost caution, or exit the market to avoid sudden reversals against the preceding move.
Beginner forex traders should remember that not every trade can be profitable. Developing a clear strategy and practicing money management are key to long-term success in trading.
*यहां पर लिखा गया बाजार विश्लेषण आपकी जागरूकता बढ़ाने के लिए किया है, लेकिन व्यापार करने के लिए निर्देश देने के लिए नहीं |
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