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Friday February 6, 2015 - 10:29:36 GMT
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Forex Trading is in a Mixed Risk Posture Heading into the U.S. and Canadian Jobs Data
|Forex Trading is in a Mixed Risk Posture Heading into the U.S. and Canadian Jobs Data|
February 6, 2015 00:00:GMT
TOP NEWS ITEMS:CA/US- Employment
Global-View Economic Chart Directory
6 February-- 10:25 GMT- Current Market Conditions. Markets are in a MIXED RISK posture ahead of the U.S. Jobs report on today. In forex, the USD is mostly lower in key relationships. The EUR is lower on its crosses. European bourses are trading lower. 10-yr bond yields are mostly lower. Peripheral yields are mixed. U.S. equity futures are up and the 10-yr yield is higher. Far East equities put in a mixed close. The 10-yr JGB is 0.34% -3bp. Gold and oil are higher.
The focus today is on the January U.S. employment report., Over the week, street estimates for job growth have been drifting lower. The Greek bailout talks are another ongoing issue for trade.
The heat map color scheme of interest rates reflects yields.
Weekly Trading Planner Top Items (GMT):
9:30 GB Visible Trade external accounts
13:30 CA Jobless % employment
13:30 CA Payrolls employment
13:30 US Payrolls employment
Be sure to refer daily to the Global-View Economic Calendar For key items (actual data, selected charts, etc.) as they are released.
||Trade eur bn
See the FOREX FORUM. for actual data, selected charts, etc.) and comments from experienced traders to events as they happen.
John M. Bland is a founding partner of Global-View.com. He was a FX consultant to major corporations. He has also been a institutional forex trader, FX analyst for a blue chip Fed watching service and an author. John has an MBA in Finance and a BA in Economics from the University of California, Berkeley.
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