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By Justin Pugsley |
May 9, 2013
There are growing signs that the Eurozone might be shifting away from its program of austerity. If that does prove to be the case, it is likely to be very supportive for risk currencies generally and risk assets such as commodities and equities.
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By John Caiazzo |
May 2, 2013
You cannot be happy about creating 150,000 (quality doubtful) jobs in a month while “losing” 350,000 weekly or 1.2 million during the same period.
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By John L. Caiazzo |
April 28, 2013
A level of skepticism pervades the global marketplace as economic and geopolitical events are largely set aside in favor of "irrational exuberance."
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By Futures Staff |
February 1, 2013
In a year dominated by crises — both natural and political — squeezing our annual list of largest influencers down to 20 was difficult. One thing this year highlighted was that money and power trump all as we learned that — at least in the banking world — there are...
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By John L. Caiazzo |
July 8, 2012
A less-than-stellar jobs situation along with ongoing concerns of the European debt crisis casts a dark shadow over the markets.
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By John Caiazzo |
July 1, 2012
The European agreement to infuse “cash” into the troubled Eurozone countries prompted a sharp selloff on Friday for the dollar and the resulting sharp rally in commodities and equities.
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By Phil Flynn |
January 11, 2012
Daily energy fundamentals from Phil Flynn
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By Phil Flynn |
January 10, 2012
Daily energy fundamentals from Phil Flynn
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By Scott Boyd |
January 1, 2012
Here are tips on how to survive and even thrive in a volatile forex market
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By Jon Nadler |
December 7, 2011
Daily metals update including analysis of gold and silver