We are dedicated to providing an objective overview on the currency (and rates) markets, based on both the fundamental drivers as well as the technical dynamics on a daily basis.
We primarily look to provide ‘colour’ on the G10 majors at the start of the London (European) session, covering all the key events from Asia as well as late NY.
Setting the opening mood of the day is valuable reference point for traders and investors alike and with combined experience of over 30 years, predominantly in FX but incorporating volatility and the underlying commodities, our observations and analysis (thereon) offer a credible outlook on the price action ahead.
Our views – like any other – are there for debate within the investment community, but we will endeavour to highlight the risks on all time frames to give participants as wide a perspective as possible.
Trading on margin products involves a high level of risk.