FOCUS OF THE WEEK!
Dear traders,
Over the coming week, the economic calendar will be filled with significant statistics.
On Monday, the opening of the week will be quite restrained by the news, meaningful statistics is expected closer to the US trading session.
On Tuesday, the day is saturated with data. This day, it is worth highlighting the publication of the RBA protocol, the employment report in the UK, economic sentiment in Germany and data on industrial production in the United States.
On Wednesday, the economic calendar is saturated with inflation data. Data on consumer price index (CPI) will be published in Australia, the UK, the eurozone and Canada. Also on this day, there are data on the trade balance of Japan, China’s GDP and the US trade balance.
On Thursday, the calendar will be full of statistics. At the beginning of the day, there are data on employment data in Australia, business activity in the Eurozone, retail sales in the UK, USA and Canada. As a result, a weekly peak of activity is expected on Wednesday and Thursday.
On Friday, market activity will decline due to the weekend in a number of key countries because of the celebration of Good Friday. The exception will be Japan with the publication of inflation data and the United States with data on construction.
This week, the period of corporate reporting starts, which will increase activity on the stock exchanges. Among the many reports it is worth highlighting the following. Monday: Citigroup (C) and Goldman Sachs (GS). Tuesday: Bank of America (BAC), IBM (IBM), J & J (JNJ). Wednesday: Morgan Stanley (MS) and PepsiCo (PEP). Thursday: American Express (AXP).
From fundamental factors, it is worth highlighting the US-Eurozone trade relations, which, after a long war between the USA and China, can switch to new territories in Europe. Also the political situation in the United States and the apparent soft policy of the US Federal Reserve is worth noting, which can significantly affect the US dollar. (Anton Hanzenko)
Have a good trading week!
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