I CFD sono strumenti complessi e presentano un rischio significativo di perdere denaro rapidamente a causa della leva finanziaria. 66% di conti di investitori al dettaglio che perdono denaro a causa delle negoziazioni in CFD con questo fornitore. Valuti se comprende il funzionamento dei CFD e se può permettersi di correre questo alto rischio di perdere il Suo denaro.
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06.09.202405:18 Forex Analysis & Reviews: Forecast for EUR/USD on September 6, 2024

Queste informazioni sono fornite ai clienti al dettaglio e professionisti come parte della comunicazione di marketing. Non contiene e non deve essere interpretata come contenente consigli di investimento o raccomandazioni di investimento o un'offerta o una sollecitazione a impegnarsi in qualsiasi transazione o strategia in strumenti finanziari. Le performance passate non sono una garanzia o una previsione delle performance future. Instant Trading EU Ltd. non rilascia alcuna dichiarazione e non si assume alcuna responsabilità in merito all'accuratezza o completezza delle informazioni fornite, o qualsiasi perdita derivante da qualsiasi investimento basato su analisi, previsioni o altre informazioni fornite da un dipendente della Società o altri. Il disclaimer completo è disponibile qui.

Today marks one of the key days in shaping the medium- and long-term directions of currency rates in the market with the release of employment data in the US. Federal Reserve Chair Jerome Powell's statement about shifting attention to employment has heightened investor nervousness to the highest level in the last year and a half. This nervousness is quantitatively measured by volatility options, which traders have surrounded themselves with in the largest volumes over the last 18 months, and the S&P 500 VIX index, which jumped 33% over the week. Also, the yield on 5-year US Treasury bonds dropped from 3.65% to 3.53% in a week, indicating investors are moving away from risk. And all this with a large volume of long positions on the euro remaining on the market. Earlier, we said that if the big players wish to turn the market towards a global strengthening of the dollar, employment data provides a convenient pretext, especially amid accumulated euro purchases amid the frenzy of a double Fed rate cut. Historically, it has been the case that employment data published by the Department of Labor, if needed to influence the market, do not reflect reality and are only adjusted to a balanced state after 1-2 months.

Exchange Rates 06.09.2024 analysis

Despite yesterday's weak ADP data showing a job increase of 99,000 versus the forecasted 144,000, we expect good results from the nonfarm payrolls and unemployment rate (forecasted at 4.2% versus 4.3% in July). We base this on the indicator of the total number of people receiving unemployment benefits, which has decreased over the last five weeks from 1.875 million to 1.838 million. The daily chart shows that the price consolidated above the support level at 1.1085. Given today's volatility, the price could easily surpass the target level of 1.1140 and move towards 1.1010. The Marlin oscillator, which has already started a downward reversal, suggests such a scenario.

Exchange Rates 06.09.2024 analysis

The 4-hour chart shows a shift in short-term interest toward buying, as the price has moved above the balance line but has yet to consolidate above the MACD line and the target level of 1.1140. We are waiting for the release of the US labor data.

Eseguito da Laurie Bailey
Esperto analista di InstaForex
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I CFD sono strumenti complessi e presentano un rischio significativo di perdere denaro rapidamente a causa della leva finanziaria. 66% di conti di investitori al dettaglio che perdono denaro a causa delle negoziazioni in CFD con questo fornitore. Valuti se comprende il funzionamento dei CFD e se può permettersi di correre questo alto rischio di perdere il Suo denaro.
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