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Friday February 13, 2015 - 10:02:09 GMT
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Better Than Expected Eurozone 4Q14 GDP Releases. Dovish RBA Comments
TOP NEWS ITEMS: US- Import Prices, University of Michigan Survey, COT Report
13 February-- 09:50 GMT- Current Market Conditions. Markets are in a RISK ON posture early Friday in Europe on the back of a number of better than expected GDP figures from the Eurozone. There is also hope for progress in Greek bailout efforts after the focus on Ukraine has diminished.
In forex, the USD is trading weak in its key relationships. The EUR is mostly up on its key crosses. European bourses are higher. 10-yr bond yields are down. Peripheral yields are off as well, especially in Greece.U.S. equity futures are up and the 10-yr yield is lower. Far East equities put in a higher close. The 10-yr JGB is 0.419% +2.5 bp. Gold and oil are higher.
Weekly Trading Planner Top Items (GMT):
8:00 DE GDP widest econ measure
10:00 EZ GDP widest econ measure
14:55 US U Mich prelim Sentiment Survey
20:30 US COT Report
Be sure to refer daily to the Global-View Economic Calendar For key items (actual data, selected charts, etc.) as they are released.
||U Mich prelim
||GDP qq 4Q14
See the FOREX FORUM. for actual data, selected charts, etc.) and comments from experienced traders to events as they happen.
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Amazing Trader EVENT RISK Calendar:
Mon 15 Jan 2018
00:00 US- Holiday
Tue 16 Jan 2018
09:00 GB- CPI
20:00 US- Beige Book
Wed 17 Jan 2018
00:30 AU- Employment
02:00 CN- GDP
10:00 EZ- final HICP
14:15 US- Industrial Production
15:00 CA- Bank of Canada Decision
Thu 17 Jan 2018
13:30 US- Weekly Jobless
13:30 US- Housing Starts/Permits
16:00 US- EIA Crude
Fri 18 Jan 2018
09:30 GB- Retail Sales
15:00 US- University of Michigan (prelim) Survey
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- POTENTIAL PRICE RISK: HIGH- Tue -- 09:30 GMT-- GB- CPI
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- POTENTIAL PRICE RISK: HIGH to Medium- Wed --14:15 GMT-- US- Industrial Production
- POTENTIAL PRICE RISK: HIGH- Wed -- 15:00 GMT-- CA- Bank Of Canada Decision
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