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SYMBOL
LAST
BID
ASK
HIGH
LOW
NET CHG.
%CHG.
SPREAD
SPX
S&P 500 Index
7064.02
7064.02
7064.02
7137.28
7050.21
-45.12
-0.63%
--
DJI
Dow Jones Industrial Average
49149.37
49149.37
49149.37
49848.69
49046.54
-293.18
-0.59%
--
IXIC
NASDAQ Composite Index
24259.95
24259.95
24259.95
24537.58
24199.00
-144.43
-0.59%
--
USDX
US Dollar Index
98.170
98.170
98.250
98.180
98.080
-0.060
-0.06%
--
EURUSD
Euro / US Dollar
1.17391
1.17391
1.17399
1.17511
1.17334
-0.00038
-0.03%
--
GBPUSD
Pound Sterling / US Dollar
1.35075
1.35075
1.35085
1.35197
1.34921
+0.00005
0.00%
--
XAUUSD
Gold / US Dollar
4755.93
4755.93
4756.38
4764.94
4715.51
+37.05
+ 0.79%
--
WTI
Light Sweet Crude Oil
88.728
88.728
88.763
89.912
88.031
-0.884
-0.99%
--

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TIME
ACT
FCST
PREV
U.K. Unemployment Claimant Count (Mar)

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The U.S. Senate Banking Committee held a hearing on Kevin Warsh's nomination as Chairman of the Federal Reserve.
FOMC Member Waller Speaks
U.S. API Weekly Refined Oil Stocks

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U.K. Core CPI MoM (Mar)

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U.K. Retail Prices Index MoM (Mar)

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U.K. Core CPI YoY (Mar)

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U.K. Input PPI MoM (Not SA) (Mar)

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Turkey Consumer Confidence Index (Apr)

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Indonesia 7-Day Reverse Repo Rate

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Indonesia Lending Facility Rate (Apr)

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Indonesia Deposit Facility Rate (Apr)

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Indonesia Loan Growth YoY (Mar)

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ECB Chief Economist Lane Speaks
South Africa Core CPI YoY (Mar)

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Turkey 1-Week Repo Rate

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South Africa Retail Sales YoY (Feb)

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Turkey Overnight Lending Rate (O/N) (Apr)

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Turkey Late Liquidity Window Rate (LON) (Apr)

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U.S. MBA Mortgage Application Activity Index WoW

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ECB Chief Economist Lane Speaks
Canada New Housing Price Index MoM (Mar)

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U.S. EIA Weekly Crude Stocks Change

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U.S. EIA Weekly Cushing, Oklahoma Crude Oil Stocks Change

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U.S. EIA Weekly Crude Demand Projected by Production

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U.S. EIA Weekly Gasoline Stocks Change

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U.S. EIA Weekly Crude Oil Imports Changes

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F: --

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    Nawhdir Øt flag
    john
    @Nawhdir ØtDollar holding steady around that 98 zone, not much excitement but definitely not weak either
    @john great, also GOV 10 / 20 Y Yield huh ?
    miki maka flag
    buy or sell gold
    john flag
    Nawhdir Øt
    @john great, also GOV 10 / 20 Y Yield huh ?
    Feels like the market is just catching its breath after all the geopolitical noise lately
    Nawhdir Øt flag
    john
    Feels like the market is just catching its breath after all the geopolitical noise lately
    @johnkelihatannya D1 DXY akan naik, tapi masih dalam kisaran
    Nawhdir Øt flag
    john
    Feels like the market is just catching its breath after all the geopolitical noise lately
    @johnUS10Y 4,3% US20Y 4,9%
    john flag
    "john" recalled a message
    john flag
    john
    @miki makalooking at this H4 chart gold is buying
    john flag
    Nawhdir Øt
    @johnUS10Y 4,3% US20Y 4,9%
    @Nawhdir ØtThat ceasefire extension is calming things a bit but not fully removing uncertainty
    john flag
    @Nawhdir ØtYou can tell traders still don’t trust the situation completely
    john flag
    Nawhdir Øt flag
    john
    @Nawhdir ØtYou can tell traders still don’t trust the situation completely
    @johnya, aku juga tidak begitu
    Nawhdir Øt flag
    john
    @johnjelas, hal itu tambah membuat Iran kesal
    Nawhdir Øt flag
    dinamika surat utang pasar ketika aku lihat juga, itu tidak karuan. @john
    Nawhdir Øt flag
    Nawhdir Øt
    dinamika surat utang pasar ketika aku lihat juga, itu tidak karuan. @john
    @johntapi tetap, mengarah kepada keburukan.
    Nawhdir Øt flag
    @john apa yang terjadi menurutmu bila hutang itu 6,4% ?
    john flag
    Nawhdir Øt
    @john apa yang terjadi menurutmu bila hutang itu 6,4% ?
    @Nawhdir Øtwhat is the current debt level
    Nawhdir Øt flag
    john
    @Nawhdir Øtwhat is the current debt level
    @john4,7
    john flag
    Nawhdir Øt
    dinamika surat utang pasar ketika aku lihat juga, itu tidak karuan. @john
    @Nawhdir ØtPowell normally says that the . current level of US debt is sustainable but it's on unsustainable path
    john flag
    Nawhdir Øt
    @john apa yang terjadi menurutmu bila hutang itu 6,4% ?
    @Nawhdir Øtso this 6.4% of GDP or what exactly are we talking about
    Type here...
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          Bulls Eye Trend Continuity as Supports Defense Intensifies

          Manuel

          Forex

          Economic

          Summary:

          The most favorable buying opportunities are likely to materialize if this level is reached and successfully mitigated by bulls.

          BUY EURCHF
          EXP
          PENDING

          0.91500

          Entry Price

          0.92300

          TP

          0.91000

          SL

          0.91650 +0.00004 +0.00%

          --

          Pips

          PENDING

          0.91000

          SL

          Exit Price

          0.91500

          Entry Price

          0.92300

          TP

          Economic sentiment across Europe witnessed a palpable deterioration throughout April. The Eurozone ZEW Indicator retreated sharply to -20.4, down from its prior reading of -8.5, while Germany’s sentiment index plummeted to -17.2 from -0.5. These prints not only underscore a significant cooling of market optimism but also fell notably short of consensus expectations, reflecting deeper concerns regarding the regional growth trajectory.
          Simultaneously, market participants are recalibrating their expectations for further interest rate hikes from the European Central Bank (ECB). This hawkish shift comes as a resurgence in crude oil prices exerts renewed upward pressure on the inflationary backdrop. Despite these pressures, the ECB maintains a characteristically prudent tone, avoiding any explicit guidance toward immediate policy shifts. Vice President Luis de Guindos recently reinforced this caution, emphasizing the necessity of evaluating upcoming data points within an environment of heightened systemic uncertainty.
          President Christine Lagarde echoed this sentiment, asserting that additional evidence is required before reaching conclusive policy decisions, thereby solidifying the institution's commitment to a strictly data-dependent methodology.
          Similarly, Swiss National Bank (SNB) Chairman Martin Schlegel emphasized that the medium-term inflationary outlook is still shrouded in significant uncertainty. He underscored that the Swiss economy—systemically exposed to exogenous shocks—faces profound challenges in calibrating appropriate monetary policy. Schlegel warned that should second-round effects materialize, central banks must respond with institutional resolve.
          This cautious perspective was mirrored in the March SNB minutes, which acknowledged a transitory energy-driven inflation spike while maintaining a stable long-term trajectory consistent with price stability mandates.Bulls Eye Trend Continuity as Supports Defense Intensifies_1

          Technical Analysis

          From a technical perspective, EUR/CHF has entered a corrective phase following a powerful bullish impulse that repeatedly challenged the 0.9266 handle. Having failed to achieve a decisive breakout above this local peak, the subsequent retracement has driven price action back toward the 0.9164 support floor.
          Currently, the 100 and 200-period Moving Averages (MAs) are tracking at 0.9213 and 0.9149, respectively. The 200-period MA is of particular interest as it aligns with a significant historical resistance zone that may now function as structural support. A successful defense of this level would provide high-conviction evidence for a trend resumption. Consequently, the most favorable buying opportunities are likely to materialize if this level is reached and successfully mitigated by bulls.
          Our analysis of momentum oscillators highlights burgeoning oversold conditions. The Relative Strength Index (RSI) recently struck the 25 level on the 4-hour chart, reaching extreme levels that typically attract value-seeking buyers.
          Simultaneously, the MACD is printing a bearish histogram that is visibly losing depth, signaling a potential exhaustion of downward momentum. While the signal lines remain entrenched beneath the neutral baseline, a bullish crossover accompanied by a move back toward the neutral zone would provide the final confirmation required for the bulls to regain full control of the primary trend.
          Trading Recommendations
          Trading direction: Buy
          Entry price: 0.9150
          Target price: 0.9230
          Stop loss: 0.9100
          Validity: Apr 30, 2026 15:00:00
          Risk Warnings and Disclaimers
          You understand and acknowledge that there is a high degree of risk involved in trading. Following any strategies or investment methods may lead to potential losses. The content on the site is provided by our contributors and analysts for information purposes only. You are solely responsible for determining whether any trading assets, securities, strategy, or any other product is suitable for investing based on your own investment objectives and financial situation.
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