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By Anthony Lazzara |
June 5, 2013
The JUN13 E-mini S&P 500 is trading down 9 points to 1622. Our key short term pivot level has moved down from 1652 to 1630. If this market can hold below 1630, we look for 1609 to be tested
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By Anthony Lazzara |
June 4, 2013
The stock market is in a conundrum now, because even if the economic numbers are very strong in the near future, that could mean the Fed will taper stimulus and thus potentially temporarily hurt the stock market.
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By John Detrixhe, Bloomberg |
June 4, 2013
The Dollar Index advanced from an almost one-month low as a rally in equities worldwide signaled sustained investor appetite for risk and demand for U.S. assets.
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By Michael P. Regan and Nikolaj Gammeltoft, Bloomberg |
June 3, 2013
The Dollar Index fell for the third time in four days while stocks and commodities advanced as an unexpected contraction in American manufacturing fueled bets the Federal Reserve will maintain its pace of stimulus.
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By Toni Hansen |
June 3, 2013
Traders will focus on unemployment data this week, as the market struggles near what some say is a short-term top.
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By Ashraf Laidi |
May 24, 2013
In my April column, I argued that 108.00 may be a realistic target for the USD/JPY. Since then, the pair has rallied to break above the 100.00 yen level for the first time since April 2009. So what’s next for this aggressive pair?
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By Toni Hansen |
May 18, 2013
Traders this week will watch housing market data, crude inventories, durable goods orders and the FOMC minutes.
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By Toni Hansen |
May 17, 2013
A number of housing reports will hit the markets next week for traders to watch, including existing sales, new sales and home prices.
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By Scott Hamilton and Jennifer Ryan, Bloomberg |
May 9, 2013
The Bank of England left its stimulus program unchanged as officials assess recent signs of strength in the economy after it returned to growth in the first quarter.
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By James Ramelli |
May 9, 2013
With recent events how can a trader position themselves to take advantage of a falling Australian dollar? Options provide leverage while still allowing a trader to set up a well-defined risk vs. reward setup.