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Today, the euro and the British pound were traded using the Mean Reversion strategy, though no significant reversals ultimately developed. I did not execute any trades using the Momentum strategy.
The lack of major news kept the market balanced, giving bulls a slight advantage during the first half of the day. However, the future direction of risk assets will depend more on developments in the Middle East than on U.S. fundamental data.
In the second half of the day, only the U.S. existing home sales data is expected. This indicator is considered one of the key measures of the health of the housing market and consumer confidence in the country. Economists are closely monitoring the dynamics of these figures and, following March's decline, are forecasting a slight increase. If the report shows a decline or stagnation in sales volumes compared to previous periods, pressure on the dollar will most likely return. Any deviation from expectations will be highly significant for traders and the real estate market as a whole.
However, as noted above, the future direction of the currency market will largely depend on the situation in the Middle East. Geopolitical tensions in the region remain a key source of uncertainty with a significant impact on global markets. Any further escalation of the conflict could trigger a sharp rise in energy prices, disrupt supply chains, and lead to large-scale capital outflows from risk assets into safe-haven assets.
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.
*The market analysis posted here is meant to increase your awareness, but not to give instructions to make a trade.
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