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GVI Trading Jay Meisler  19:00:58 GMT - 01/26/2017  
How about this post (last 1.0696):

Thursday Trading Ideas
GVI Trading Jay Meisler 16:56 GMT 01/26/2017 - My Profile
1.0660 -= 61.8 of 1.0589-1.0775

1.0658 = LOD



GVI Trading Jay Meisler  16:56:58 GMT - 01/26/2017  
1.0660 -= 61.8 of 1.0589-1.0775

1.0658 = LOD


GVI Trading john bland  16:26:06 GMT - 01/26/2017  
Developing EURUSD uptrend in play (at risk) with 20day moving average 1.0598 coming into range of spot.


GVI Trading john bland  15:42:20 GMT - 01/26/2017  
U.S. 10-yr 2.551% +3.0bbp

source of USD demand and a potential weight on stox.


Israel Dil  13:25:20 GMT - 01/26/2017  

Sell EURUSD
Entry: Target: Stop: 1.08xx
the theme is still valid...
1st-2nd week of February may hold 2017 high in place of not already done.


NY JM  13:21:07 GMT - 01/26/2017  
Finally got the stops. 1.0691 = 200 hr mva



LONDON SFH  12:18:05 GMT - 01/26/2017  
The valuation of the Dow makes it clear that MONEY is not worried about lack of earnings and growth...talking gloomy just depresses people but voting with your wallet is more what is needed


LONDON SFH  12:13:02 GMT - 01/26/2017  
He should be worried since he just blew $1bln on being short stocks!


Kl Shawn  12:00:15 GMT - 01/26/2017  
Ask Soros if u think no one is worried. A lot of other doom and gloomers are worried about losing their shirts


LONDON SFH  11:34:43 GMT - 01/26/2017  
In the US we should be worrying already about it. Dow at 20,000 and no one is worried at all...


Haifa ac  11:23:53 GMT - 01/26/2017  
" When do we worry about that? In 6 months?"

Historically the sell signal for equities was when Risk free money (bonds, T-bills, Eurodollars, Notes...) ROR got to around 3%.

We are still not there but it is coming.


Paris ib  11:19:45 GMT - 01/26/2017  
The ongoing bond market sell off has to have an impact on the economy going forward. When do we worry about that? In 6 months?


GVI Trading john bland  10:34:07 GMT - 01/26/2017  
Risk On
DAX +66
DJ +47
SP +2

10-yr 2.574% +2.6bp


dc CB  09:25:06 GMT - 01/26/2017  
Theresa May won't be wearing a "merkel" when she visits Trump...he wouldn't want to look either.

Angela....gets pounded down by both into the weekend.


london red  08:49:29 GMT - 01/26/2017  
cable. a few things. since clearing 124/125 and the 100dma the mkt is seeking 12775/12850. todays gdp may see some more upside if comes in 0.5/0.6. at 12698 is the 61.8 of 150 and the true low 11491. since we havent traded in yesterdays range, there is a risk the mkt loses todays gains and does some backfilling. in the case of no backfilling you should see a breakout bar which could take us towards 12775 prev high. mkt is still short and may trump wknd meeting may cause more to close prior to the meet which is already seeing some trump tweets in relation to it. all considered a fade at 12698 with a tight stop should yield a small gain which may or may not turn into something larger but i dont think we will see much sustained downside this side of the weekend, we may even need to do a strong close on the month before ending next month lower.


haifa ac  08:48:30 GMT - 01/26/2017  
127 area should contain this short covering rally.


Dubai MR  08:34:41 GMT - 01/26/2017  
Any suggestions on cable?


GVI Trading john bland  20:53:18 GMT - 01/25/2017  
Register for the Amazing Trader

1.

GVI Trading Statistical Market BIAS Indicators--

EUR symbol The Fed Funds Market Sentiment Barometer reflects current sentiment about a future change in Fed policy.
Odds for one 25bp rate hike as of the June 17, 2017 meeting are now 110%.

EURUSD MACRO statistical Bias: UP
Spot EURUSD: 1.0749
20-day avg: 1.0598
Pivot Point: 1.0744
The slope on the 20-day average is pointed higher.






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GVI Trading. Potential Price Risk Scale
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