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US major indices trade to new session highs

Key events and releases for next week

US stocks end the week with strong gains and close at session highs

Forexlive Americas FX news wrap: PCE inflation comes down and any decline is good

Russia paid coupons in foreign currency on 2 Eurobonds - may have averted default.

China property sector train wreck rolls on: Evergrande to roll defaulted debt to new bonds

"Peak interest rates may be lower than expected as growth slowdown looms"

China Opens Exchange Bond Markets to Overseas Investors

China coronavirus - Shanghai reports Covid-19 case outside quarantine area

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The guy who shut a pipeline on Day 1 is now angry that oil companies aren't expanding production

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Everyone in Argentina wakes up 20% poorer today

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Time having second thoughts

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1) Block a pipeline to Canada to stop oilsands. 2) Reopen trading with Venezuela to re-start oilsands 🤡 🤡 🤡

In the span of 10 minutes: -Moody's cut Mexico's outlook to negative -Fitch downgrades Mexico -CNBC reports no deal with the US on tariffs and immigration

USD/JPY has rallied ...... USD/RUB: "Hold my beer".

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Putin putting Russian nuclear forces on high alert reminds me of an old trading adage. What do you do when there reports of nuclear war? You buy the dip. Because if the reports are wrong, you'll make money. If the reports are right, money doesn't matter anyway.

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Base case: 1) Russia secures Donbas. No conflict, since controlled by rebels. 2) Putin declares Donbas independent. 3) Ukraine doesn't counter-attack 4) Some token sanctions 5) It's all over

S&P 500 closes up 1 point and avoids closing in a bear market.

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