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SaaR KaL  14:20:29 GMT - 09/19/2016  
USDCAD waiting to short at 1.3260

Looking good till 1.2800 in early oct


nw kw  13:35:39 GMT - 09/19/2016  
usdcad 1.3168
audcad at top channel /and might get the orders day.


Mtl JP  13:11:20 GMT - 09/19/2016  
as far usdyen goes:
rangetrapped 101.20-103
currently only gambling interest in playing it


Mtl JP  12:56:40 GMT - 09/19/2016  
current eurdlr support: 200 day 1.1144
but also a trgt


Mtl JP  12:48:39 GMT - 09/19/2016  
usdcad 1.3168
gv chart points
Pivot 1.3200
Sup 1 1.3151
-
Keeping robot restrained to BoD
trgt 1.32 and higher


GVI Trading Room john bland  12:10:55 GMT - 09/19/2016  
Risk ON?
DAX+86
DJ +91
SP +10

10-yr
1.693% 0bp


GVI Trading Room john bland  08:28:07 GMT - 09/19/2016  

WEEKLY HIGH IMPACT NEWS:

19-Aug MON
00:00 JP- Holiday
14:00 US- NAHB
20-Aug TUE
12:30 US-Housing Starts/Permits
21-Aug WED
03:00 JP- BOJ Decision
14:30 US- EIA Crude
18:00 US- Fed Decision
22-Aug THU
12:30 US- Jobless Claims
14:00 US- Existing Homes Sales
21:00 NZ- RBNZ Decision
23-Aug FRI
All Day- flash PMIs
12:30 CA- CPI & Retail Sales


Trading Themes--
  • Germany's CDU ruling party, Angela Merkel's CDU suffered big losses in Regional elections in Berlin over the weekend, due to the unpopularity of her immigration policies. Next year sees national elections.

  • This week features key central bank decisions by the Bank of Japan and U.S. Federal Reserve on Wednesday. I am not sure about what to expect from the Bank of Japan. They seem to have a habit of over-promising and under-delivering. I expect they will announce another round of half-hearted monetary stimulus. Expect JPY volatilty after the BOJ decision is announced, depending on the outcome.

  • As for the Fderal Reserve. Recently, they have turned the policy reins over to the marketplace, most notably the Fed Funds futures market. Fed Funds futures have placed very low odds on a rate hike thus week, so it might be best to follow their lead. As for future policy, all we can do is wait to see what the markets dictate to Chair Yellen what she will decide at that time. I am expecting EURUSD to weaken after the Fed, as their policy statement will likely take a hawkish tone.

  • Friday saw the release of a somewhat hotter than expected U.S. August CPI report. This is one of the key inflation metrics of the Fed. The data upset markets owing to concern that the Fed could soon be leading global central banks into a period of "policy normalization". This expectation has seen volatile equity prices and rising bond yields.

  • John M. Bland, MBA
    co-founder Global-View.com


    CURRENT CONDITIONS: Mixed Markets



GVI Trading Room john bland  18:45:05 GMT - 09/18/2016  

WEEKLY HIGH IMPACT NEWS:

19-Aug MON
00:00 CN- Holiday
14:00 US- NAHB
20-Aug TUE
12:30 US-Housing Starts/Permits
21-Aug WED
03:00 JP- BOJ Decision
14:30 US- EIA Crude
18:00 US- Fed Decision
22-Aug THU
12:30 US- Jobless Claims
14:00 US- Existing Homes Sales
21:00 NZ- RBNZ Decision
23-Aug FRI
All Day- flash PMIs
12:30 CA- CPI & Retail Sales


Trading Themes--
  • The new week features key central bank decisions by the Bank of Japan and U.S. Federal Reserve on Wednesday. I am not sure about what to expect from the Bank of Japan. They seem to have a habit of over-promising and under-delivering. I expect they will announce another round of half-hearted monetary stimulus. Expect JPY volatilty after the BOJ decision is announced, depending on the outcome.

  • As for the Fderal Reserve. Recently, they have turned the policy reins over to the marketplace, most notably the Fed Funds futures market. Fed Funds futures have placed very low odds on a rate hike thus week, so it might be best to follow their lead. As for future policy, all we can do is wait to see what the markets dictate to Chair Yellen what she will decide at that time. I am expecting EURUSD to weaken after the Fed, as their policy statement will likely take a hawkish tone.

  • Friday saw the release of a somewhat hotter than expected U.S. August CPI report. This is one of the key inflation metrics of the Fed. The data upset markets owing to concern that the Fed could soon be leading global central banks into a period of "policy normalization". This expectation has seen volatile equity prices and rising bond yields.

  • John M. Bland, MBA
    co-founder Global-View.com


    CURRENT CONDITIONS: Risk-Off






Actionable trading levels delivered LIVE to YOUR charts

GVI Trading. Potential Price Risk Scale
AA: Major, A: High, B: Medium

Mon 27 May 2019
AAGB/US- Holiday
Tue 28 May 2019
A 14:00 US- Consumer Confidence
C 13:00 US- Case-Shiller
Wed 29 May 2019
A 08:55 DE- Employment
AA 18:00 US- BOC Decision
A 18:30 US- EIA Crude
Thu 30 Mar 2019
AAEZ/CH- Holiday
A 12:30 US- Weekly Jobless
Fri 31 Mar 2019
AA 10:00 EZ- Flash HICP
A 12:30 US- Personal Income, Spending, Deflator
AA 14:00 US- Final Univ of Michigan


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