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20250114 Key Impacts of U.S. CPI Release and Portfolio Update
Episode 98
Published 1Β year, 8Β months ago
Description
π Market focus π€ cautious amid upcoming U.S. CPI data π potentially affecting currency pairs like USD/JPY. π Mixed trends in EUR/USD, GBP/USD, USD/JPY π― crucial resistance/support levels speculation continues. πΌ Key trading recommendations and risk management strategies highlighted. π’οΈ Commodity & bond correlations shaping movements, stay vigilant! π. π Markets mix growth & uncertainty; π S&P 500 highs, FTSE thriving (UK 9.5%-9.6%); π‘ Energy & Tech volatile; π± Currency shifts affect ETFs (GBP, USD, EUR). π οΈ Rebalance, focus on diverse sectors & risk management for strategic gains.