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SYMBOL
LAST
BID
ASK
HIGH
LOW
NET CHG.
%CHG.
SPREAD
SPX
S&P 500 Index
6782.82
6782.82
6782.82
6793.15
6740.48
+165.97
+ 2.51%
--
DJI
Dow Jones Industrial Average
47909.91
47909.91
47909.91
48017.09
46978.17
+1325.46
+ 2.85%
--
IXIC
NASDAQ Composite Index
22634.99
22634.99
22634.99
22821.21
22501.28
+617.15
+ 2.80%
--
USDX
US Dollar Index
98.790
98.790
98.870
98.920
98.780
-0.090
-0.09%
--
EURUSD
Euro / US Dollar
1.16654
1.16654
1.16661
1.16672
1.16485
+0.00034
+ 0.03%
--
GBPUSD
Pound Sterling / US Dollar
1.33956
1.33956
1.33967
1.34029
1.33810
+0.00019
+ 0.01%
--
XAUUSD
Gold / US Dollar
4712.54
4712.54
4712.93
4733.08
4698.43
-6.99
-0.15%
--
WTI
Light Sweet Crude Oil
91.315
91.315
91.350
92.921
90.987
+0.097
+ 0.11%
--

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The Subscription Multiple For The Japanese Five-year Government Bond Auction Was 3.58, Compared To 3.69 In The Previous Auction

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Market News: An International Monetary Fund Team Will Visit Pakistan Next Month To Discuss Budget Issues

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Spanish Prime Minister Sánchez: The EU Must Suspend Its Cooperation Agreement With Israel

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Spanish Prime Minister Sánchez: Lebanon Must Be Included In The Ceasefire Agreement

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Senior Iranian Presidential Official: Israeli Attacks On Lebanon Pose A Serious Threat To The Ceasefire Agreement

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The Main Polysilicon Futures Contract Fell By 4.00% During The Day, Currently Trading At 31,615 Yuan/ton

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Vice Chairman Of The China Council For The Promotion Of International Trade, Li Xingqian, Met With Antonio Noronha, Chairman Of The Portugal-China Chamber Of Commerce And Industry

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Satellite Images Confirm Attack And Fire At Saudi's Khurais Oil Field

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China Association Of Automobile Manufacturers: In January–February, The Cumulative Value Of China's Automobile Exports To Countries Along The Belt And Road Reached US$26.33 Billion

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Japan's Ministry Of Economy, Trade And Industry: Japan's Steel Product Exports Are Expected To Decline By 1.0% Year-on-Year In The April-June Period

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The Bank Of Korea Reported That Foreign Capital Saw A Net Outflow From The South Korean Bond Market In March, Marking The Largest Monthly Outflow On Record. Foreign Investors Also Saw A Record High Net Outflow From The South Korean Stock Market In March

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The Bank Of Korea Reported That Net Foreign Investment In South Korean Domestic Bonds Was -$6.77 Billion In March, Compared To $5.74 Billion In February

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Trump: The New York Times And CNN's Ten-Point Plan On Iran Negotiations Are All False Reports

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The Most Active Iron Ore Futures Contract Fell 2.00% During The Day, Currently Trading At 754.00 Yuan/ton

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The Main Manganese Silicon Futures Contract Fell 2.00% During The Day, Currently Trading At 6138.00 Yuan/ton

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Concentrated Policy Efforts Have Led To A Steadily Improving Business Environment For SMEs

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Japanese Finance Minister Satsuki Katayama: This Middle East Conflict Has Made US Realize That The Impact Of Overseas Markets On Japanese Government Bond Yields May Be Greater Than Expected

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Analyst: Restoring Oil And Gas Supplies Is Not That Simple

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The National Development And Reform Commission And Other Departments Issued A Notice On Compiling A List Of Integrated Circuit Enterprises Or Projects And Software Enterprises That Will Enjoy Tax Incentives In 2026

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The Shenzhen Component Index Rebounded From Its Low And Turned Positive, After Falling By More Than 1% Earlier, While The ChiNext Index Narrowed Its Decline To 0.47%

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China, Mainland M1 Money Supply YoY (Mar)

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Q&A with Experts
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    Nawhdir Øt flag
    ada kemungkinan 4697-4694
    "Forex Trad" recalled a message
    Forex Trad flag
    watch ou tto buy at 4660 its a nice buy zone
    imran bash flag
    BUY but go for short buys
    木木
    你们是觉得会跌破4700的支撑位吗?
    Nawhdir Øt flag
    Forex Trad
    watch ou tto buy at 4660 its a nice buy zone
    @Forex Tradapakah tidak terlalu jauh ?@Forex Trad
    Nawhdir Øt flag
    Nawhdir Øt
    ada kemungkinan 4697-4694
    @木木
    Forex Trad flag
    @Nawhdir Øt that is only if you trade long for the scalpers wouldn't advice
    Forex Trad flag
    @Nawhdir Øt there is a lot of orders and imbalance not yet filled at that zone
    Nawhdir Øt flag
    Forex Trad
    @Nawhdir Øt there is a lot of orders and imbalance not yet filled at that zone
    @Forex Tradsecara kasat mata, ya memang benar.
    木木
    Forex Trad
    @Nawhdir Øt there is a lot of orders and imbalance not yet filled at that zone
    @Forex Trad 这种是如何发现的?
    Forex Trad flag
    @木木 just doing analysis and also checking on orders
    木木
    看来我还要多学习
    Nawhdir Øt flag
    木木
    @Forex Trad 这种是如何发现的?
    @木木mungkin observasi mendalam di dalam Lab.
    Nawhdir Øt flag
    Nawhdir Øt flag
    Nawhdir Øt
    aku ambil risiko itu dengan 0.1 lot x 4 = ada 0.4 lot
    Forex Trad flag
    @Nawhdir Øt@木木 check that
    Navin Kuma flag
    Nawhdir Øt
    aku ambil risiko itu dengan 0.1 lot x 4 = ada 0.4 lot
    @Nawhdir Øt risky
    Nawhdir Øt flag
    Navin Kuma
    @Nawhdir Øt risky
    @Navin Kumagakpapa, itu cuma 0,7% "JIKA" semua kena SL
    imran bash flag
    short buyers hold
    Type here...
    Add Symbol or Code

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          RSI Divergence and Moving Average Support Signal Potential USD/CAD Upside

          Manuel

          Forex

          Economic

          Summary:

          This objective is of high technical interest as it aligns the 0.618 Fibonacci expansion with the upper boundary of the prevailing ascending channel.

          BUY USDCAD
          EXP
          TRADING

          1.38559

          Entry Price

          1.40190

          TP

          1.37700

          SL

          1.38487 +0.00042 +0.03%

          0.0

          Pips

          Flat

          1.37700

          SL

          Exit Price

          1.38559

          Entry Price

          1.40190

          TP

          The global geopolitical landscape has entered a phase of heightened intensity, characterized by fragile attempts at containment amidst ongoing kinetic escalations. U.S. President Donald Trump recently announced via Truth Social a strategic two-week suspension of military operations against Iran. This tactical moratorium, however, remains strictly contingent upon Tehran ensuring the "complete, immediate, and secure" navigation of the Strait of Hormuz. While Iran initially signaled a willingness to coordinate safe transit with its armed forces during this period, the situation on the ground has continued to deteriorate.
          Despite the announced ceasefire, hostilities in the Middle East have persisted with significant severity, particularly in Lebanon. Recent Israeli aerial operations have targeted over 100 objectives in what the Israel Defense Forces (IDF) described as the most significant coordinated offensive since the inception of the conflict. Tehran has characterized these strikes as a direct violation of the nascent truce—which had been in effect for less than 24 hours—asserting that it would be "unreasonable" to pursue a permanent peace accord with the United States under such volatile conditions.
          Parallel to these geopolitical shifts, market participants remain hyper-focused on the trajectory of U.S. monetary policy. The minutes from the Federal Reserve’s March assembly revealed that policymakers are still entertaining the possibility of rate cuts later this year. However, this outlook is clouded by the systemic uncertainty stemming from regional conflicts and evolving trade tensions. Fed officials emphasized the necessity of a "nimble" policy posture, requiring a constant re-evaluation of how these exogenous shocks impact an inflation rate that remains above target and a labor market that has, thus far, exhibited remarkable stability.
          The U.S. employment sector continues to reflect this resilient, albeit complex, dynamic. According to the Bureau of Labor Statistics (BLS), the domestic economy generated a robust 178,000 jobs in March, significantly outperforming market expectations of 60,000. This headline strength was partially tempered by a substantial downward revision to February’s figures, which now reflect a contraction of 133,000 positions compared to the previously estimated loss of 92,000. Concurrently, the national unemployment rate showed marginal improvement, descending to 4.3% from its previous 4.4% reading.
          In Canada, a relatively benign inflationary backdrop has granted the Bank of Canada (BoC) essential maneuvering room to absorb the impact of surging crude prices. This has allowed the central bank to avoid further policy tightening for the time being, particularly as the domestic labor market begins to show signs of structural fatigue.
          However, the broader Canadian economy signaled burgeoning weakness in March. The S&P Global Canada Manufacturing PMI retreated to 50.0, down from February’s 51.0, settling precisely on the psychological threshold that separates expansion from contraction. This stagnation suggests a stalling of business activity and has intensified concerns regarding the economic repercussions of Middle Eastern tensions, which continue to obscure the outlook for global trade.
          Against this backdrop, the BoC elected to maintain its benchmark overnight rate at 2.25%, a level sustained since October. During the post-meeting press conference, Governor Tiff Macklem reaffirmed that the institution stands prepared to tighten its posture should energy-driven costs manifest as persistent, broad-based inflationary pressures. Conversely, Macklem maintained strategic optionality, leaving the door open for potential rate cuts should energy prices retreat and economic activity exhibit further deceleration.RSI Divergence and Moving Average Support Signal Potential USD/CAD Upside_1

          Technical Analysis

          From a technical perspective, USD/CAD appears entrenched in a well-defined ascending channel, a structure originating from the 1.3524 floor established on March 9 and extending toward the local peak of 1.3966 reached on March 31. Since striking that high, the pair has undergone a technical retracement that has brought price action directly into contact with the 100-period Moving Average (MA), currently situated at 1.3831. The 200-period MA tracks further below at 1.3742.
          This specific support level carries significant historical weight; on March 16, a test of the 100-period MA served as the catalyst for a renewed bullish impulse. Should this pattern repeat, we anticipate a secondary leg higher targeting the 1.4019 handle. This objective is of high technical interest as it aligns the 0.618 Fibonacci expansion with the upper boundary of the prevailing ascending channel.
          Our analysis of momentum oscillators provides a compelling case for a bullish pivot. The Relative Strength Index (RSI) is exhibiting a pronounced bullish divergence. The RSI recently struck a low of 26.35—an extreme oversold reading not witnessed even during the early stages of the current rally. This suggests that bearish momentum has reached a point of exhaustion, often a precursor to a sharp reversal.
          Simultaneously, the MACD is printing a bearish histogram; however, the bars are visibly losing depth, indicating that the downward momentum is dissipating. A bullish crossover in the histogram appears imminent. Given that the signal lines are currently oscillating just beneath the neutral baseline, a positive histogram transition would likely precede a decisive move of the signal lines back into bullish territory, validating a resumption of the primary trend.
          Trading Recommendations
          Trading direction: Buy
          Entry price: 1.3853
          Target price: 1.4019
          Stop loss: 1.3770
          Validity: Apr 17, 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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