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ATFX:历史级非农修正引爆降息交易,欧元跃升为避风港
Sou Hu Cai Jing· 2025-08-05 07:56
Group 1 - The core employment data from the US indicates a significant slowdown in the job market, with only 73,000 non-farm jobs added in July, far below the expected 106,000, and a downward revision of over 250,000 jobs for May and June, marking the largest adjustment since the pandemic [1] - The market's expectation for a Federal Reserve rate cut in September has surged, with an 80.9% probability for a 25 basis point cut, leading to a sharp decline in the US dollar index [1] - The euro has benefited from the dollar's weakness, rising 1.33% against the dollar to close at 1.1593, marking one of its strongest single-day performances in months [1] Group 2 - Eurozone's July CPI increased by 2.0% year-on-year, with core inflation at 2.8%, indicating that inflation is nearing the European Central Bank's medium-term target [2] - Major economies like France and Germany are experiencing a consumption rebound, which offsets the pressure from overall GDP growth slowdown, showcasing unexpected resilience in the Eurozone economy [2] - The ongoing trade negotiations between the US and EU are at a critical juncture, with the US considering maintaining high tariffs on certain EU goods, which could lead to retaliatory measures from the EU [2] Group 3 - From a technical perspective, the EUR/USD is at a critical juncture, with significant divergence between bulls and bears, and the price is currently oscillating around the 1.1546 level [4] - Citibank believes that the dollar sell-off triggered by the non-farm data will support the euro's short-term upward trend, while Deutsche Bank warns of potential adjustment pressure on the euro if trade negotiations fail or if Eurozone inflation weakens [4] - The euro is seen as having medium to short-term upward potential driven by the dovish expectations from the Federal Reserve and the European Central Bank's stable stance [5]
FXGT外汇:风控系统构建稳健交易环境
Sou Hu Cai Jing· 2025-08-04 15:24
FXGT外汇:揭秘风控系统,打造无忧交易环境,让投资更安全、更稳健!立即了解如何在市场波动中保护您的资产。 作为一名对外汇市场深感兴趣的投资者,我常常思考如何在这个波动不定的市场中保护自己的资金安全。FXGT外汇的风控系统给了我不少启 发,它的先进技术让我看到了一个稳健交易环境的重要性。在本文中,我将分享我对FXGT风控系统的理解,以及它如何支持我的交易策略。通 过专业团队的保障,我相信即使在市场波动时,我也能更从容地应对。让我带你一起探索FXGT外汇如何构建一个安全的交易环境。 ## 关键要点 实时监控和快速反应提升交易安全感 通过大数据、人工智能和区块链技术进行风险识别和管理 严格监管和双重身份验证确保资金安全 灵活调整策略以有效应对市场波动 ## FXGT外汇的风控系统优势 我认为FXGT外汇的风控系统优势就在于其能够提供实时监控和快速反应能力。这样我能随时掌握市场动态,做出及时决策。系统的自动化程度 让我感到放心,因为它能在我无暇顾及时保护我的投资。我觉得这种技术上的支持是我选择FXGT的重要原因。每次交易,我都感受到风控系统 带来的安全感。 ## 先进技术在风控中的应用 我在了解先进技术如何在风控系 ...
每周大白外汇英语交易术语学习汇总(7.28-8.1)
Sou Hu Cai Jing· 2025-08-04 10:01
Group 1 - The article discusses various Forex trading terms and settings for automated trading strategies, particularly focusing on the importance of managing swap fees and market conditions [1][2][4] - It highlights the significance of the "Triple Swap Day" on Wednesdays, where traders should avoid opening or holding positions to prevent excessive swap costs [2] - The article explains the "One Cancels the Other" (OCO) order feature, which allows traders to set two orders where one cancels the other upon execution, enhancing trading efficiency during market fluctuations [6] Group 2 - The article details the "Dead Stop System," a risk management feature that triggers automatic liquidation of positions when losses reach a critical threshold, acting as a last line of defense against account depletion [10] - It introduces the "Adaptive Force Mode," which adjusts trading parameters based on real-time market conditions, allowing for more flexible trading strategies [10] - The "Sentiment Shield Mode" is described as a mechanism that reduces trading frequency during extreme market sentiment, helping to avoid losses from herd behavior [15]
对“广场协议2.0”警惕缓解,日元要贬?
日经中文网· 2025-08-02 00:33
Core Viewpoint - The article discusses the recent strengthening of the US dollar against major currencies, driven by changing perceptions of President Trump's stance on currency valuation and the impact of US-EU tariff negotiations [2][4][8]. Group 1: Dollar Strengthening Factors - The "Dollar Index," which measures the dollar's strength against major currencies, surged from 97.4-97.6 to 98.5-98.9, breaking through the 50-day moving average resistance [4]. - The market reacted to concerns that tariffs would negatively impact the European economy, leading to a sell-off of the euro and increased demand for the dollar [4]. - Trump's recent comments indicate a shift towards favoring a strong dollar, stating, "I am a fan of a strong dollar," which contrasts with previous views that suggested a preference for a weaker dollar to boost exports [6][8]. Group 2: Market Reactions and Predictions - The Japanese yen weakened against the dollar, reaching an exchange rate of 1 USD to 148.70 JPY, as market participants anticipated further dollar strength [4]. - Analysts suggest that if the perception of a strong US economy continues, the yen could depreciate to 150 JPY per USD, indicating a potential shift in currency dynamics [9]. - Technical analysis signals, such as the "Ichimoku Kinko Hyo," indicate bullish trends for the dollar, with key levels being monitored for potential breakout points [11].
从产品到安全,富拓诠释外汇交易平台的优质标准
Sou Hu Cai Jing· 2025-07-31 06:05
Core Viewpoint - FXTM has announced a brand upgrade to enhance investor experience and provide superior trading options in the forex trading sector [1][4]. Group 1: Company Overview - FXTM has over 10 years of industry experience, serving more than 5 million investors across 180+ countries, showcasing both reputation and strength [3]. - The brand upgrade focuses on multiple dimensions including products, services, and security [3]. Group 2: Product Enhancements - The product offerings include forex, CFDs, stocks, and now feature new assets like the Russell 2000 Index and Hang Seng China Enterprises Index, enabling one-stop trading [3]. - The trading platform has been optimized with MT4/MT5 and advanced indicators, along with improved account opening processes and localized payment options [3]. Group 3: Trading Environment and Value - FXTM has received over 45 industry awards for its quality services and products, offering low spreads, low commissions, and flexible leverage to reduce trading costs [3]. - The execution speed is exceptional, with over 99% of orders completed within one second [3]. Group 4: Security Measures - FXTM is regulated by authorities in Mauritius, the UK, and South Africa, and collaborates with Lloyds Banking Group to provide a compensation fund of up to $1,000,000 for each client [3]. - Client funds are kept separate from operational funds, ensuring safety [3]. Group 5: Customer Support - The platform offers a wealth of free educational resources and real-time market analysis to enhance trading skills [3]. - 24/5 localized customer service is available to address inquiries, along with intelligent risk management tools to help manage risks [3].
外汇交易风险怎样把控?
Sou Hu Cai Jing· 2025-07-29 07:11
Core Viewpoint - Forex trading is a crucial part of the international financial landscape, attracting many investors, but it comes with various risks that need to be effectively managed to ensure sustainable development in trading [1][2]. Risk Sources - Market risk is the primary concern, influenced by global economic data, political situations, and geopolitical conflicts, leading to constant fluctuations in currency exchange rates [1]. - Credit risk arises from the possibility of counterparty default in forex transactions, particularly in forex forwards and swaps, which can result in financial losses for investors [1]. - Liquidity risk can threaten forex trading, as different currency pairs may exhibit varying trading volumes, making it difficult to find counterparties during market volatility, thus increasing transaction costs [1]. Risk Management Strategies - Investors should conduct thorough risk assessment and planning before entering the forex market, evaluating their risk tolerance based on financial status and investment goals to create a detailed trading plan [2]. - Diversification is essential; spreading investments across different currency pairs can mitigate the negative impact of a single currency's volatility on the overall portfolio [2]. - Utilizing risk management tools, such as stop-loss and take-profit orders, is crucial for controlling potential losses and securing profits [2]. Continuous Learning and Monitoring - Investors must maintain close attention to market developments and continuously learn about new economic data and policy changes that can affect exchange rates [3]. - Regularly tracking macroeconomic indicators and central bank communications is vital for understanding market dynamics and making informed decisions [3].
每周(7.21-7.25)大白外汇英语交易术语学习汇总we
Sou Hu Cai Jing· 2025-07-29 06:40
Core Insights - The articles provide a summary of various forex trading terms and concepts, focusing on technical indicators and risk management strategies. Group 1: Trading Terms - "Use obos" refers to Overbought/Oversold, applicable for multi-indicator cross-confirmation [1] - "Use stoch cros" involves Stochastic Crossover as an entry signal, indicating buy when K line crosses above D line and sell when K line crosses below D line [2] - "Optimal" denotes the ideal lot size for current account funds and risk, often calculated automatically by EA based on account balance [7] Group 2: Risk and Management - "Moderate" describes risk or trend intensity, used in settings like "moderate risk" or "moderate mode" [7] - "Opacity" refers to the degree of visual clarity in EA trading panels, allowing user customization [8] - "Capital management" involves built-in strategies in mature EAs for users to switch between different modes like Martingale, grid, or hedging [8] Group 3: Notifications and Formatting - "MQID© Push Notif" is a service in the MQL5 ecosystem for receiving alerts and notifications from EAs, useful for remote monitoring and mobile trading [9] - "Vertical spacing between lines" pertains to the line spacing in EA strategy displays, enhancing readability and user experience [9] Group 4: Economic Indicators - "FOMC" stands for Federal Open Market Committee, responsible for setting interest rates and monetary policy, significantly impacting markets [12] - "Federal Funds Rate" is the short-term borrowing rate between banks set by the Federal Reserve, crucial for influencing the dollar's movement and related assets [13]
【UNFX 课堂】外汇风暴眼特朗普 "护美元" 撞上鲍威尔 "放鸽"看懂这场权力的游戏交易不迷路
Sou Hu Cai Jing· 2025-07-29 00:41
Group 1 - The core narrative revolves around the tension between political statements from Trump and the ambiguous signals from Fed Chair Powell regarding the strength of the US dollar and interest rate policies [1][2] - Trump's declaration of a "strong dollar" serves to protect his legacy and assert the White House's influence over market perceptions, while Powell's dovish hints suggest a potential shift towards easing monetary policy [2][3] - The recent CPI data indicating a significant drop in inflation has provided Powell with the confidence to signal a more flexible approach to interest rates, which has altered the dynamics of the power struggle [2][3] Group 2 - Market reactions have been pronounced, with the dollar index experiencing a sharp decline, gold prices reaching new historical highs, and US stock indices rising collectively due to expectations of interest rate cuts [3][4] - Non-US currencies have also benefited from the dollar's retreat, indicating a broader market shift as investors reposition themselves in response to the changing monetary landscape [3][5] - The upcoming period of anticipated interest rate cuts is characterized as a historically volatile yet potentially lucrative phase for investors [4][5]
美联储加息风暴再起:IEXS·盈十证券解析汇率波动中的交易新机遇
Sou Hu Cai Jing· 2025-07-28 06:20
Group 1 - The anticipation of a Federal Reserve interest rate hike is influencing global foreign exchange markets, with potential opportunities and challenges for traders [1][2] - Historically, the dollar index tends to rise significantly before and after the initiation of an interest rate hike cycle, exerting pressure on a basket of major currencies [2] - The market is currently digesting the year-end rate hike expectations, highlighting the need to be cautious of the "buy the rumor, sell the news" phenomenon [2] Group 2 - Different currencies are experiencing significant divergence under the backdrop of a strengthening dollar, with major currencies like the euro and yen facing pressure due to ongoing domestic easing policies [2] - Emerging market currencies are under threat from capital outflows, which may lead to sharp declines in their exchange rates [2] - The Chinese yuan is showing resilience, with onshore markets remaining stable and offshore yuan fluctuations being manageable [2] Group 3 - IEXS is committed to empowering traders by providing comprehensive support in the complex market environment created by the interest rate hike [2][3] - The company offers deep market insights, real-time analysis of Federal Reserve policies, and economic data to anticipate market sentiment shifts [2] - IEXS provides a dual-direction mechanism for trading, allowing traders to capitalize on both rising and falling dollar scenarios [2][3] Group 4 - The company emphasizes the importance of professional analysis and robust tools to help traders navigate the heightened volatility and identify trends [3] - IEXS offers a smart risk control system that includes real-time alerts and automated profit and loss management tools to ensure capital safety [2][3] - The trading experience is enhanced by a stable, low-latency trading system that ensures precise execution during critical market movements [2][3]
交易真相,昂首平台建议别找单一策略,理性规划增加盈利可能
Sou Hu Cai Jing· 2025-07-26 00:21
Group 1 - The core idea emphasizes the inherent uncertainty in price direction within the trading environment of the Angshou platform, indicating that there is no definitive method or "ultimate trading strategy" that guarantees success [1][3] - It is highlighted that both entry and exit points are crucial in trading decisions, countering the notion that only exit points matter, thus advocating for a balanced approach in strategy formulation [3] - The article suggests that traders should adopt a rational and scientific attitude towards trading plans, considering both entry and exit points to enhance profitability and mitigate losses [3] Group 2 - The discussion points out that the market's uncertainty is a constant condition, and traders should abandon the pursuit of a single perfect strategy [3] - The importance of having a clear understanding of the market and a reasonable strategy is reiterated as essential for successful trading on the Angshou platform [3]