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May 26, 2012 10:08PM GMT
     
 
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Forex Bank Research

This section contains fundamental analysis research from investment firms for major currency pairs. Fundamental analysis is a method for forecasting the direction of financial instruments through the study of economic indicators. For currency pairs, they include: GDP, interest rates, inflation rates, unemployment rates, trade balance, and so forth.
Financial Market Review
By 
 - Jan 26, 2009
A very difficult week for the pound ended with confirmation that the UK economy entered technical recession in the second half of last year, with output down a startling 1.5% in Q4 2008 – the ...
Economics Weekly Review
By 
 - Jan 26, 2009
UK recession confirmedUK gdp fell by 1.5% in Q4 2008, confirming what the monthly data for the period had already shown and signalling the end of 16 years of uninterrupted economic growth, see chart ...
Daily Technical Strategy
By 
 - Jan 26, 2009
UK recession confirmedUK gdp fell by 1.5% in Q4 2008, confirming what the monthly data for the period had already shown and signalling the end of 16 years of uninterrupted economic growth, see chart ...
US Market Update
By 
 - Jan 25, 2009
Dow -216 S&P -22.4 NASDAQ -51- Equities indices are making fresh lows well into negative territory this morning amidst an atmosphere of heightened volatility, weak economic data and dismal ...
Financial Market Review
By 
 - Jan 23, 2009
A very difficult week for the pound ended with confirmation that the UK economy entered technical recession in the second half of last year, with output down a startling 1.5% in Q4 2008 – the ...
Technical Strategy
By 
 - Jan 22, 2009
EUR/USD:Some conflicting signals continue. Stops were hit at 1.3070 and the temptation here is to stand aside for now. However, resell into 1.3110, stop 1.3155, target 1.270. In this PDF you will ...
Bond Technical Strategy
By 
 - Jan 21, 2009
A developing theme from Q4 2008 was the prospect for commodity prices to rally in 2009 andput pressure on the bond markets. This, coupled the relatively positive performance fromemerging market ...
Daily Technical Strategy
By 
 - Jan 21, 2009
EUR/USD:1.3025 resistance (prior support last week) is a key level for now. Conflicting signals with gold bid and the dllar bid, but for the moment with euro yen pressing lows the bias is to the ...
Daily Technical Strategy
By 
 - Jan 20, 2009
EUR/USD:Stops at 1.3140 was hit. Loss of 1.300 is a negative euro development and the pressure is now on the downside. Sell into 1.3060, stop 1.3110 target 1.2700. In this PDF you will find the ...
KBC Sunrise Market Commentary
By 
 - Dec 18, 2008
Treasuries profited from some follow through buying post FOMC meeting, but fell off their intra-day highs later on. The correction was much more pronounced at the short end of the curve as investors ...
KBC Sunrise Market Commentary
By 
 - Dec 16, 2008
Sentiment in the Treasury market is iron stark, but is profit taking no feature of markets? or is that only in normal markets? The FOMC decision on quantitative easing and the subsequent market ...
KBC Sunrise Market Commentary
By 
 - Dec 15, 2008
Looking forward, the FOMC meeting will be the last big event before most investors close their books for the year. Weelaborate on the last real trading week of the year and conclude that correction ...
CFDs Quotes
 SPX 500 Futures1315.15-7.35-0.56%  
 NQ 100 Futures2525.40-10.85-0.43%  
 US 3012454.83-74.92-0.60%  
 DAX6339.94+24.05+0.38%  
 UK 1005351.53+1.48+0.03%  
 Japan 2258580.39+17.01+0.20%  
 US Dollar Index82.52+0.08+0.10%  
CFDs Quotes
 Gold1572.25+14.75+0.95%  
 Silver28.475+0.318+1.13%  
 Copper3.448+0.020+0.58%  
 Crude Oil90.75+0.09+0.09%  
 Natural Gas2.618-0.092-3.38%  
 US Cotton No.273.67-0.27-0.36%  
 US Coffee C167.65+2.13+1.28%  
 
 EUR/USD1.2516-0.0015-0.12%  
 GBP/USD1.5667-0.0002-0.01%  
 USD/JPY79.68+0.08+0.10%  
 USD/CHF0.9597+0.0011+0.11%  
 AUD/USD0.9758-0.0005-0.05%  
 USD/CAD1.0293+0.0025+0.24%  
 EUR/CHF1.2011-0.0001-0.01%  
CFDs Quotes
 Euro Bund144.34+0.36+0.25%  
 Euro BTP101.66-0.48-0.47%  
 Euro BOBL126.341+0.140+0.11%  
 UK Gilt119.72+0.27+0.23%  
 US 2 YR T-Note110.23+0.03+0.03%  
 US 10 YR T-Note133.81+0.44+0.33%  
 US 30 YR T-Bond147.80+0.69+0.47%  
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