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Treasury Undersecretary for Domestic Finance Nellie Liang said U.S. financial regulators have focused on stablecoins because of the central role theyve begun playing in the world of cryptocurrencies.To get more news about NEO, you can visit official website.
  “We believe theyre kind of foundational to crypto and future crypto services,” Liang said Thursday during a virtual event sponsored by the Institute of International Finance.
  “They‘re being used mostly for crypto trading currently. They also have the potential and have started to be used for payments -- and may be widely used for payments, and that raises a whole set of issues that the President’s Working Group wanted to focus on,” she said.
  The PWG is a group of regulators led by the Treasury that includes the heads of several federal agencies. Its aiming to issue a report on stablecoins, which are tied to the value of a sovereign currency, by the end of the month.
  The PWGs efforts will focus on four areas, Liang said:
  Consumer and investor protection
  Regulation to prevent financial crimes
  Regulations to protect the integrity of the payments system
  Protecting the stability of the overall financial system
  Liang said the group would issue a report “in a few weeks.”
  For more blockchain news, please download WikiBit- the Global Blockchain Regulatory Inquiry APP.

The government that brought you $28 TRILLION in debt that they are unable to pay back without a perpetual raising of the debt “ceiling” and forced confiscation of wealth via taxation and other means is here to tell you that “Yes, yes, yes, yes, yes you will need to submit to us invading your privacy to ensure the IRS knows about every single transaction over $600 you ever make.”To get more news about MANA, you can visit official website.
  The mounting debt may be no fault of your own. It is likely the product of a run away bureaucracy drunk with power, greed, and an inability to do anything with any semblance of efficiency, but that does not matter. You must suffer. After all, this is YOUR government. You voted for the imbeciles making the decisions. Therefore, you should be liable for the consequences of their decisions. Deal with it, peasant.
  Disregard the fact that the decrepit old bag screeching “yes, yes, yes, yes, yes” in your face as if it is an appropriate explanation to a valid question about government overreach has abused her position and the information it affords her (husband) to front run markets. YOU are in the wrong. YOU are guilty until proven innocent. Until the IRS takes the information handed over from the banks, scrutinizes every transaction you ever make over $600 and let you know whether you've paid your “fair share”, you are not absolved of your natural tax slave sin. DEAL WITH IT, MAGGOT.
  This is how the US government views the US taxpayer at this current juncture. As we said yesterday, it is time to abolish this government drunk with power. These ignorant kleptocrats need to be left behind. They are actively attempting to push through a top-down centrally planned economic transition on the public.
  They want to make “fundamental change” to the economy. In other words, they want to dictate what should and shouldn't be done within the economy. They want to centrally plan industry. Completely neglecting the free and actual will of the markets and the participants who make it up. This is pure madness and it should be rejected at every turn. These people are insane. They are immoral. And if they get their way, they will destroy any chance of prosperity for the American people moving forward.
  Nothing will ever be enough for them. When these terrible policies and central plans fail they will only ask for more. They will only tell you that you didn't do enough. If you only let them steal from you a little bit more they would have achieved their utopian dreams. That is why they need to dip their dirty skeleton looking fingers into your pockets and personal life yet again.
  These people don't have any respect for you. They think you are a dumb compliant pleb to be milked for all your worth with absolutely nothing but shitty results from their capital misallocation in return. They think you are so dumb and such a danger to yourself that you should not be able to purchase things like tobacco, prescription drugs, or guns. Those things now need to be censored too. For your own safety, worm.
  COMPLETE CONTROL. This is what these psychopaths want. They don't care about your safety. They don't care about your comfort. They don't care about your future. They care about their ability to absolutely dominate your life.
  And their number one tool to achieve that control is the current monetary, FINANCIAL, and tax systems, which they are looking to leverage to cattle herd you into their trap. Well, if any of this makes you sick, as it should, Bitcoin is here to provide an alternative where these efforts are made exponentially harder.
  It's time to tell these assholes to leave you the fuck alone. You can do that by buying bitcoin and convincing as many people as possible to join you
หนึ่งในคำถามยอดฮิตสำหรับคนที่เริ่มเทรด Forex คือ ‘ควรใช้อุปกรณ์แบบไหนในการเทรด’ จะใช้คอมจอใหญ่ ๆ หรือมือถือที่สัมผัสได้เพียงปลายนิ้ว บอกเลยว่าการเทรด Forex บนทั้ง 2 อุปกรณ์นี้ มีข้อดีและข้อเสียแตกต่างกัน และมันก็แอบมีผลต่อการเทรดของคุณด้วยนะ เรื่องราวจะเป็นยังไง ติดตามได้ในบทความนี้To get more news about Bull sphere, you can visit official website.
  ข้อดีของการ ‘เทรดบนมือถือ’
  ดีที่ยุคนี้ แพลตฟอร์มการซื้อขายจำนวนมากพร้อมใช้งานในทั้ง 2 อุปกรณ์ สำหรับมือถือคุณสามารถใช้ MT4/5 ได้ในอุปกรณ์ระบบ Android และ iOS ไม่ว่าคุณจะมี iPhone, Google, Samsung หรือโทรศัพท์ยี่ห้ออื่น ๆ คุณก็จะซื้อขายได้เพียงปลายนิ้วสัมผัสไม่ว่าคุณจะอยู่ที่ใ ดในโลก
จะไปเที่ยว เดินป่า ดูปะการัง คุณก็เทรด Forex ไปด้วยได้ เพราะคุณพกมันไปได้ทุก ๆ ที่ ขอแค่มีอินเทอร์เน็ต และเนื่องจากอินเทอร์เฟซที่ใช้งานง่าย และฟังก์ชันที่ได้รับการปรับปรุงอยู่ตลอด คุณจะสามารถซื้อขายในตลาด Forex ได้อย่างสะดวกสบายแน่นอน
  ข้อเสียของการ ‘เทรดบนมือถือ’
  การเข้าถึงบัญชีซื้อขายของคุณได้ตลอดเวลา สามารถเปลี่ยนการเทรดที่ดี ให้เข้าขั้นแย่ได้ การซื้อขายมีองค์ประกอบทางจิตวิทยามากกว่าที่หลายคนคิดว่า และมันมักถูกละเลยา มันง่ายที่จะพัง เพราะความโลภและความกลัว ซึ่งอาจเกิดขึ้นจากการอยู่ในบัญชีซื้อขายตลอดเวลาหลังจากต ื่นนอน มันอาจจะทำให้คุณเครียด คิดมากเกินไป ส่งผลให้เกิดการ Overtrading และทำให้มีความเสี่ยงสูงขึ้น
หลายคนบอกว่าการซื้อขายบนพีซีเป็นตัวเลือกที่ดีกว่าสำหรับ เทรดเดอร์ที่มีประสบการณ์ เมื่อคุณอยู่ระหว่างการเทรด คุณมักจะต้องการหน้าจอที่ใหญ่ขึ้นเพื่อหลีกเลี่ยงการทำผิด พลาดใด ๆ เนื่องจากหน้าจอของคุณเล็กเกินกว่าที่คุณจะสังเกตเห็นการม ีหน้าจอขนาดใหญ่เป็นประโยชน์ต่อการมองเห็น เพราะมันทำให้คุณเห็นกราฟชัด ๆ โฟกัสได้ง่ายขึ้น ซึ่งจะช่วยให้คุณตัดสินใจได้อย่างแม่นยำมากขึ้นว่าจะซื้อห รือขาย
  ข้อเสียของการ ‘เทรดบนคอมพิวเตอร์’
  ข้อเสียที่ใหญ่ที่สุดของการเทรดบนคอมพิวเตอร์ คือไม่สามารถพกพาได้เหมือนโทรศัพท์มือถือ แม้ว่าตอนนี้มันจะมีความคล่องตัวมากกว่าที่เคยเป็นมา แต่ก็ยังใหญ่กว่าโทรศัพท์หรือแท็บเล็ตอยู่มาก ซึ่งการเข้าถึงอินเทอร์เน็ตก็อาจไม่ได้สะดวกเท่ามือถือที่ แค่เปิดเครื่องก็ใช้ได้เลย
ทั้งนี้ ใครจะใช้มือถือ หรือใครจะใช้คอมพิวเตอร์ในการเทรด Forex ก็แล้วแต่ความชอบเลย บางคนก็ใช้รวมกันทุกอย่างเลยก็มี หรือบางคนก็เลือกเทรดบนอุปกรณ์กลาง ๆ ระหว่างสองอย่างคือ ‘แทปเล็ต’ ก็ไม่เสียหาย ยังไงก็ลองไปเทียบข้อดีและข้อเสียดูแล้วกัน ว่าแบบไหนน่าจะเข้ากับคุณมากที่สุด เลือกได้แล้วไปเทรดกัน
  สุดท้าย ไม่ว่าจะเทรดบนมือถือ หรือคอมพิวเตอร์ สิ่งสำคัญคือต้องเลือกเทรดกับโบรกเกอร์ที่มีใบอนุญาตจากหน ่วยงานกำกับดูแลเท่านั้น! เพราะนั่นเป็นทางเดียวที่ทำให้คุณมั่นใจได้ว่า จะเทรดได้อย่างปลอดภัย มีการปกป้องดูแลภายใต้กฎหมาย อย่าไปหลงกลลงทุนกับมิจฉาชีพ เพราะจะมีแต่เสียกับเสีย! ตอนนี้คุณสามารถตรวจสอบข้อมูลใบอนุญาต และอ่านรีวิวโบรกเกอร์ Forex ทั่วโลกได้ง่าย ๆ สะดวกสุด ๆ เพียงแค่นำชื่อไปค้นหาบนแอป WikiFX โหลดฟรี!
  แนะนำฟีเจอร์ “การเปิดเผย” เราแนะนำถ้าโดนโบรกเกอร์โกง คุณสามารถมาร้องเรียนโบรกเกอร์ในนี้ได้ หรือถ้าคุณอยากดูรีวิวโบรกเกอร์จากผู้ใช้จริง สามารถกดเข้าไปที่ ‘การเปิดเผย’ และคุณจะเจอการร้องเรียนโบรกเกอร์ Forex จากทั่วทุกมุมโลก เพื่อใช้พิจารณาการเลือกโบรกเกอร์!
2014年底的兩部大片,《超體》、《星際穿越》,都在� ��過量子物理的世界,試圖擴展觀眾理解世界的維度,雖� ��理解量子物理不同的維度對日常的生活並沒有“實際”� ��義,畢竟我們不能回到昨天去購買一張今天頭獎的彩票� ��To get more news about videforex, you can visit official website.
  但是對所處環境基於更高維度的理解,可有效提� �我們面對當前維度困難的能力,而投資上理解不同的維� �何嘗不是一個道理。
  在一維世界的投資裏,只有單一公司的概念,“� �公司等於好投資”這一句被喊爛的口號,對涉股市未深� �人有很大的迷惑作用,任何試圖把投資簡單化和教條化� �方式最終都是以虧損為代價。在一維世界的投資中,公� �的好壞代表了投資的唯一真理,一家今天好明天好後天� �的公司,理應世世代代好下去。
  一維投資裏另外一口號是“買股票就是買公司的� �部分”。這句引述巴菲特的話,可沒有建立在巴菲特早� �作為積極價值投資者,在尋找到股價低於淨資產價值的� �業,然後購買到足夠影響董事會的股份,推動公司釋放� �前被壓制的價值。一般投資者根本不存在購買股票份額� �以影響公司決策的地步。所以低於淨值產的股票,也許� �一直低下去。
  對於二維投資者,除了公司的概念之外,還增加� �價格的維度。一個公司的股票值多少錢,每個人因為認� �能力不同會各有差異。如果一個公司的股票價格與實際� �值形成很大的價值窪地,並且在大多數投資心中形成了� �識,那麼投資者行為本身就會縮小這個價值窪地。
  而其他投資者會在更高的價格接貨,是因為公司� �價值也在資產注入或價值從塑中被一路抬高,股票的價� �上漲除了公司價值被人為提升之外,是因為投資相信自� �會以更高的價格賣給其他投資者,直到價值提升的的手� �用盡無法吸引新增的追捧者,股票的價格會掉頭走向崩� �。索羅斯的反身性就是對此種行為很好的解釋。
  三維的投資世界,除了公司,價格的因素,還包� �了外部環境。無論哪國的農民都不會在冬季播種,而不� �投資者在好公司+好價格(好價格不完全等於便宜價格)� ��判斷下博觸底反彈的時候,迎來的往往是深套不起。這� ��好像農民只看氣溫決定播種一樣,要知道秋天和春天總� ��有一段溫度一致的時候,而秋天的寒風預示著寒冬的來� ��,而春天的低溫是在招攬夏季的暖風。
  一個公司所處的行業發展階段,而這個階段在時� �中的位置。決定著這家公司的管理層是在逆水行舟還是� �風啟航,如果把喬布斯放在煤炭,鋼鐵這樣的行業裏,� �還會產生現在這樣的社會影響力麼?
在四維世界的投資者裏,除了好公司,好價格,外部� �境之外,還多了一個時間的概念。任何事物在做出選擇� �時候都無法逃避時間對其後果的放大。正確的行為時間� �你的朋友,錯誤的行為,時間會折磨得你生不如死。萬� �俱備只欠東風,時間就是驅動事件向你所設想的方向運� �的“東風”。
  只要持有一個企業時間足夠長,那麼所有能想到� �能想到的黑天鵝都會飛到你的池塘裏。一個公司在10年之 中上漲十倍,前三年下跌,中間三年震盪,後三年漲了10� ��。一個對時間有判斷能力的投資者前邊六年應該忙其他� ��資,而只在最後三年介入。投資上除了要避免做最後一� ��進場的接盤俠,也不要做死在沙灘上別人眼裏的“前浪� ��。
  五維的投資者,除了公司,價格,宏觀,時間之� �多了一個維度叫風險。風險自身有三個維度,第一個維� �是系統性風險。只要你一直做投資,那麼像08年那種經濟 危機一定會碰到,對於這種風險並不需要有過多的恐懼, 因為系統性風險是盈虧同源。除非避免進入股市,如果不 是這種風險一定會碰到。
  風險的第二個維度是個人風險,主要是投資者本� �不具備識完整的投資能力和良好的心智控制力,這需要� �年的苦學和修煉,付出大量心血和學費,才能達到一個� �場的平均水準。在一般領域如果平均線是50%,但是在投� �領域肯定不會有50%的人在賺錢,之前看期貨裏有個統計� �90%虧損,8%盈虧平衡,2%盈利。股票也許沒那麼難,但是� ��期盈利的比例不會超過10%。
  風險的第三個維度來自10%裏那些盈利投資者的盈� �策略。這種風險叫做成功依賴症。當投資者找到在一段� �間表現優秀的投資策略那麼很容易對此深信不疑並且被� �利吹脹自信。要知道一個停止的鐘錶一天還准點兩次,� �資策略的有效性在投資策略失效前,是很難鑒別是真有� �值可以持續進化還是只符合了特定時期投資環境的產物� �
投資本身是一門關於選擇的藝術,如何對未來做出最� �的決策,是圍繞投資者日常工作的核心。而最好的選擇� �不一定只出現在股票市場。股票市場只是現實經濟中的� �格參與者通過證券交易的方式體現其內在價值變化的一� �工具平臺。而投資者如果真的擁有一個發現投資機遇的� �睛,那麼在傳統的資本市場和實體經濟領域都會發現值� �投資的行業或人。而全球經濟分工越來越明確,獨立生� �的現代經濟體已不存在,每個國家,行業都有千絲萬縷� �聯繫。
  當美國政府年中要廢除存在了幾十年的禁止原油� �口的法案時,其已經預示著原油價格的長期下跌信號,� �此延伸出葉岩氣和新能源兩個行業的巨大利空。單單一� �原油市場的信號,就可延伸出好幾條不同行業和國家市� �的投資策略。
  而這個週期觸發的起點是2011年日本核危機後,日� ��國內核電機組全部停止,德國也宣佈了其廢除核能計畫� ��除了導致釉價連跌數年,也引發了這幾年的光伏,風能� ��資熱情。擁有六維角度的投資者對市場擁有牽一發而動� ��局的思維能力。可以憑藉單一市場的資訊,延伸出在不� ��國家,不同市場,不同交易工具的盈利策略。並且可以� ��對沖手段降低總倉位風險的同時,用倉位中低比例高杠� ��的交易工具把撲獲的收益做大。
El dólar gana posiciones con respecto a las monedas de alto rendimiento, aunque baja frente al euro y la libra esterlina este lunes, ya que el informe de empleo del viernes ha dejado un importante margen de incertidumbre sobre cuándo podría empezar la Reserva Federal a subir los tipos de interés.To get more news about liteforex, you can visit official website.
  El informe de empleo ha sido el más débil de este año, con sólo 194.000 puestos de trabajo no agrícolas creados, muy por debajo de las expectativas. La gran revisión al alza de los datos de agosto suavizó un poco la decepción, pero la remuneración media superó las expectativas, lo que alimenta los temores de que la inflación pueda fortalecerse al mismo tiempo que el crecimiento se ralentiza debido a las limitaciones tanto de las cadenas de suministro mundiales como de los mercados laborales locales. Sin embargo, las cifras no sugieren que la Reserva Federal no vaya a comenzar a reducir sus compras de bonos el mes que viene.
  A las 9:10 horas (CET), índice dólar, que sigue la evolución de esta moneda con respecto a una cesta de otras seis divisas principales, se mantiene prácticamente plano en 94,073, tras no poder superar sus máximos de septiembre en respuesta al informe de empleo del viernes. El dólar avanza un 0,4% frente al yen y un 0,3% frente al dólar neozelandés, respaldado por los elevados precios de las materias primas que requieren dólares para su liquidación.
  Sin embargo, baja frente a la libra esterlina, tras las declaraciones de dos altos funcionarios del Banco de Inglaterra —entre ellos el Gobernador Andrew Bailey— durante el fin de semana, que señalaron muy claramente que el banco pretende subir los tipos de interés a corto plazo. Las expectativas de inflación han aumentado hasta superar el 4% a cinco años en el Reino Unido, un país que sigue más traumatizado que la mayoría por los recuerdos de la estanflación de los años 70.
  Bailey declaró al Yorkshire Post en una entrevista que “obviamente” está “preocupado” por la inflación por encima del objetivo, y ha añadido que: “Va a ser una tarea muy delicada y compleja, así que tenemos que evitar, en cierto modo, que la cosa se enquiste permanentemente, porque eso sería obviamente muy perjudicial”.
  Su colega Michael Saunders, por su parte, declaró al Sunday Telegraph que el Reino Unido tendría que prepararse para subidas de tipos “considerablemente más temprano”. El tipo de interés básico del Banco se ha mantenido en el 0,1% desde el inicio de la pandemia.
  La libra esterlina sube un 0,4%, hasta máximos de tres meses de 1,1804 frente al euro, y un 0,4% frente al dólar, hasta registrar máximos de un mes en 1,3664 dólares.
  Las divisas relacionadas con el petróleo continúan su fuerte repunte, ya que los precios del crudo se mantienen muy por encima de los 80 dólares por barril durante el fin de semana. El rublo ruso registra máximos de 14 meses frente al dólar, hasta el nivel de 71,6724, mientras que el dólar canadiense registra máximos de dos meses tras la publicación de un informe del mercado laboral mucho más sólido el viernes. Canadá creó sólo 157.000 puestos de trabajo en septiembre y ya ha recuperado todos los empleos que destruyó al comienzo de la pandemia.
  El volumen de operaciones en los mercados de Estados Unidos será ligeramente escaso con motivo de la festividad del Día de la Raza en Estados Unidos, mientras que los discursos del economista jefe del Banco Central Europeo, Philip Lane, y de Frank Elderson se analizarán en busca de cualquier señal de que el BCE —cada vez más atípico en la tendencia mundial de ajuste de la política monetaria— está empezando a reaccionar ante una mayor presión inflacionaria.
При этом британский банк Barclays (LON:BARC) сохраняет позитивный взгляд на акции, уверенный в преобладании принципа «альтернативы не существует» (TINA, there is no alternative). Он предвидит период повышения волатильности и снижения доходности на европейском фондовом рынке.To get more news about ids international, you can visit official website.
  Но аналитики банка советуют не бояться инфляции и не прибегать к «убежищу» — покупке облигаций, а вместо этого воспользоваться спадом и покупать подешевевшие акции, которые, на их взгляд, более привлекательны, чем облигации.
  Отметим, что в сентябре общеевропейский индекс STOXX 600 отметил 7-месячную прибыльную серию после того, как на мировом рынке сложился благоприятный фон для быстрого восстановления экономики на фоне беспрецедентных фискальных и монетарных стимулов.
  В обновленной октябрьской стратегии, опубликованной в среду, аналитики Barclays предупредили, что зреет новый экономический цикл, соотношение цены к прибыли по акциям является высоким, а рост прибыли на акцию будет умеренным, в то время как центральные банки становятся все более «ястребиными» в своем настрое. При этом приток средств в управляющие активами фонды в последнее время замедлился. При сокращении соотношения цены к прибыли будущая доходность снизится, по мнению банка, но все же останется положительной.
  Глава подразделения европейской стратегии банка Эммануэль Кау заявил, что «по мере увеличения премии за риск доходность с поправкой на него будет снижаться. Тем не менее, мы по-прежнему считаем акции более привлекательными, чем облигации, и полагаем, что следует покупать на спаде».
  Он также добавил, что корреляция между облигациями и акциями довольно большая, но при этом облигации кажутся более «оторванными» от фундаментальных экономических показателей, а следовательно, будут более уязвимы перед инфляцией и политическими рисками в четвертом квартале, к каковым относятся энергетический кризис в Европе, COVID-19, экономическая неопределенность в Китае и в отношении потолка госдолга в США.
  Кау уверен, что у инвесторов по-прежнему есть порох в пороховницах, учитывая, что денежные рынки (то есть активы под управлением) составляют сегодня $4,5 трлн. Только акции являются тем классом активов, который приносит положительную реальную доходность и имеет тенденцию оставаться на плаву в условиях более высокой инфляции, добавил он.
  Говоря конкретно о направлениях для инвестиций, аналитики банка отдают предпочтение европейским акциям, так как они эффективнее высоко оцененных американских. В частности, Кау и его команда сосредотачивают внимание на тех акциях, что стоят дешево по сравнению с фундаментальными показателями компаний на том основании, что они предлагают более выгодную защиту при повышении ставок и не являются перекупленными.
  К стоимостным акциям относятся акции банков, которые показали с начала года лучшие результаты, и энергетический сектор — один из самых дешевых секторов. При этом сырьевые товары также предлагают потенциальную защиту от падения фондового рынка в случае сохранения высокой инфляции.
  В отношении внутренних акций Великобритании Barclays снизил их ценность из-за ряда проблем: дефицита предложения, ослабления государственных стимулов и перспективы повышения ставки Банком Англии, отметив избыточный вес акций компаний Германии и Италии, поскольку экономика этих стран восстанавливается, а Европейский центральный банк сохраняет свою аккомодационную политику.
  «Итальянские акции выглядят дешевыми и имеют более сильный импульс роста, чем акции Испании. Мы позитивно оцениваем акции банков, которые имеют гораздо больший вес на периферии по сравнению с центром», — сказал Кау.

The company raised the recent funds from Advent International and Viking Global Investors.To get more news about aafx/WikiFX Verification, you can visit official website.
  Global Processing Services (GPS), one of the prominent international payment technology platforms, announced yesterday that the company has secured over $300 million in funding to accelerate its technology development and international expansion.
  In an official announcement, GPS mentioned that the company has raised the funds from Advent International and Viking Global Investors. In October 2020, Visa, the US-based financial services giant, announced an investment in GPS.
  Through the latest funds, GPS is planning to expand its presence across different regions including Europe, Asia-Pacific, and the Middle East. The company aims to accelerate its product innovation to meet the growing demand.
  “GPS provides key payments technology infrastructure, enabling the global fintech revolution. Their agile, resilient, and modern cloud platform drives some of the most innovative use cases and allows fintech companies to globalize through a single API,” commented Peter James, Director at Advent International.
  According to GPS, the global API-first payment technology platform of the company powers the worlds leading financial technology platforms, including Revolut, Curve, Starling Bank, Zilch, WeLab Bank, and Paidy. Its platform has facilitated several unicorns across Europe, the Middle East, and Asia-Pacific.
  Global Fintech Sector
  The global financial technology sector attracted record investment during the first half of 2021. Leading payment technology firms also raised significant funding during H1 2021. In the recent announcement, GPS mentioned that the company is simplifying access to the global digital payment ecosystem. “We are delighted to partner with Advent and Viking, with their deep experience and track record in payments and fintech, and, who share our bold vision for the next generation of global payments,” said Joanne Dewar, Chief Executive Officer at GPS.
  “GPS has been at the heart of the global fintech explosion, simplifying access to the global rails of the new digital payments era. This investment will allow us to turbocharge our geographic footprint and product expansion plans as we drive the payments ecosystem in the key verticals of today and tomorrow, including digital banking, Buy Now Pay Later, B2B virtual cards, financial empowerment, and much more,” Dewar added.

The Forex Market is a global financial community where money is taken away from the curious and undisciplined traders and handed over to the disciplined and patient traders. This is called the art of marking smart money. To remain profitable in the forex market, every trader must understand the factors that move the market, popularly known as Fundamental and Technical analysis. News and previous price actions constitute the meaning of these two respectively; and the duo synchronistically move the market in the most significant ways.To get more news about FXCM, you can visit official website.
What is Forex Trading?
  The word Forex is an acronym for Foreign exchange. Forex Trading offers investors and travellers the opportunity to safeguard their accumulated wealth against devaluation and inflations. The Forex Market is therefore a global market where a particular currency pair is bought against a perceived weakening currency inorder to profit from the weakness of the opposite pair. Forex is the safest way to safeguard one's money against inflations and hiking.
  What is Forex Analysis?
  Forex Analysis is a systematic study of the market movement pattern by investors as to determine which pair of currency to either buy or sell. It is the process of decision making on which position to take in the market as to make profits.
  Often these analysis could be technical in natur; using resources such as charting tools or can be fundamental in nature, using economic indicators and/or news-based events.
  Types of Forex Market Analysis
  There are basically two ways of analyzing the Forex Market called the Technical and Fundamental Analysis. These two offer seasoned guide on the possible direction to expect in the market.
  A. Fundamental Analysis:
  Fundamental Analysis is otherwise known as daily news and events that move a particular currency so much. Such movement could either be positive or negative and moves the market in either way. Fundamental analysis is often used to analyze changes in the forex market by monitoring figures, such as interest rates, unemployment rates, gross domestic product (GDP), and other types of economic data that come out of countries. Other events such as politics, crisis situation and upheavals greatly affect the value of a Country's currency and investors always paid attention to these events in deciding which currency to either buy or sell.
  B.Technical Analysis:
  This is the study of previous price movement patterns in deciding which direction the market will follow at each point in time. The major assumption here is that the market having moved severally in a particular way under different conditions, is most likely to repeat same movement when given a similar conditions. Hence, technical analysis comes in the form of both manual and automated systems.
  Understanding Forex Market Analysis:
  It's important to think critically about the tenets of forex market analysis. Here is a four-step factors to always consider.
  1. Understand the Drivers.
  The art of successful trading is partly due to an understanding of the current relationships between markets and the reasons that these relationships exist. It is important to get a sense of causation, remembering that these relationships can and do change over time. A lot of factors especially those we have mentioned above move the market. Therefore the first questions to ask are: Why are these things happening? What are the drivers behind the market actions? What effects will they have on the market.
  2. Chart the Indexes
  It is helpful for a trader to chart the important indexes for each market for a longer time frame. This exercise can help a trader to determine relationships between markets and whether a movement in one market is inverse or in concert with the other. Longer time frames as Daily, weekly and monthly are most suitable in analyzing the market.
  3. Market Sentiments
  The way traders have reacted to a particular event or news in the past often determined their future reaction to it. Therefore it is very important to understand how the general traders feel over a particular Economic event.
  4. Time the Trades:
  Every trader must be careful to enter the market at the most rife moment to avoid losses. Often strong Support and Resistance points have remained the most profitable region for entering the market. There is a much higher chance of a successful trade if one can find turning points on the longer timeframes, then switch down to a shorter time period to find a better entry.
今週の月曜日からずっとレンジ相場が続いてい� �す。240移動平均線を上回っていますが、1800台にも突入� ��きず、1750~1770のレンジ相場です。To get more news about xauusd, you can visit official website.
240移動平均線がサポートラインとして機能していま� �。おそらく、本日の雇用統計次第で、方向が決まって� �るでしょう。
  雇用統計の結果が予想を下回れば、金価格は上� �する展開になる可能性があります。1796が目安です。
日足チャートを見ると、200移動平均線がレジスタン� �ラインになっていることが分析できます。200移動平均� �は1796近辺にあるため、金価格が上昇するとしても、1796 で反発する可能性が極めて高いと推測できるでしょう。
  ボリンジャーバンドのミドルバンドを上回って� �値を迎えれば、上昇基調に戻っていくかもしれません� �
  一方、雇用統計が予想を上回って株式市場が上� �すれば、金価格は短期的には下落基調に戻っていくの� �はないかとも考えています。日足チャートのRSIを分析� �ると、50で反発し、RSI数値が下落しています。
  今週もお疲れ様でした。どうぞ良い週末をお過� �しください。
  ※全ての情報は、私が独自に判断しているもの� �あり、あくまでも情報提供が目的です。投資判断の全� �の責任は、トレーダーにあります。レポート著者を含� �、WikiFXは一切の責任を負いません。
Dolar Amerika Serikat naik terhadap mata uang berimbal hasil tinggi tetapi beranjak turun terhadap euro dan sterling pada hari Senin setelah laporan pekerjaan AS hari Jumat lalu meninggalkan ruang ketidakpastian signifikan mengenai kapan Federal Reserve kemungkinan mulai menaikkan suku bunga.To get more news about ids international, you can visit official website.
  Laporan angka pekerjaan AS tersebut adalah yang terlemah tahun ini, hanya mencapai 194.000 pekerjaan nonpertanian yang ditambahkan, jauh dari perkiraan konsensus. Perubahan peningkatan yang besar pada data Agustus sedikit mengurangi kekecewaan, tetapi pendapatan rata-rata berada di atas ekspektasi, meningkatkan kekhawatiran bahwa inflasi dapat menguat pada saat yang sama seiring melambatnya pertumbuhan imbas masalah di rantai pasokan global dan pasar tenaga kerja lokal. Namun, angka-angka tersebut tidak menunjukkan bahwa Fed tidak akan mulai mengurangi pembelian obligasi bulan depan.
  Pada pukul 14.23 WIB, Indeks Dolar AS menguat tipis 0,02% di 94,097 menurut data setelah gagal melewati level tertinggi September sebagai respons terhadap laporan pekerjaan pada hari Jumat. Dolar AS menguat 0,52% terhadap yen, dan 0,05% terhadap dolar Selandia Baru, didukung oleh harga komoditas global yang tinggi yang membutuhkan dolar AS untuk penyelesaian perdagangan.
  Namun, dolar AS melemah terhadap pound, GBPUSD naik 0,29% di 1,3650 setelah komentar dari dua pejabat senior Bank of England - termasuk Gubernur Andrew Bailey - pada akhir pekan, yang mengisyaratkan dengan sangat jelas bahwa bank sentral ini sedang mencari cara untuk menaikkan suku bunga dalam waktu dekat. Ekspektasi inflasi telah meningkat menjadi lebih dari 4% dalam lima tahun di Inggris, sebuah negara yang masih lebih terluka daripada kebanyakan kenangan stagflasi di tahun 1970-an.
  Bailey mengatakan kepada Yorkshire Post dalam wawancara bahwa “jelas” ia “khawatir” pada inflasi di atas target, menambahkan bahwa: “Kami akan memiliki pekerjaan yang sangat rumit dan menantang di tangan kami sehingga kami harus mencegahnya menjadi tertanam secara permanen karena itu jelas akan sangat merusak.”
  Sementara itu, rekannya Michael Saunders, mengatakan kepada Sunday Telegraph bahwa Inggris harus bersiap untuk kenaikan suku bunga “secara signifikan lebih awal”. Suku bunga utama Bank telah ditetapkan sebesar 0,1% sejak awal pandemi.
  Sterling naik 0,4% ke level tertinggi tiga bulan di 1,1804 melawan euro dan naik 0,4% terhadap dolar ke level tertinggi satu bulan di $1,3664 pada saat ditulis pukul 3:10 AM ET (0710 GMT). Sedangkan rupiah lanjut menguat 0,09% di 14.207,5 per dolar AS hingga pukul 14.29 WIB.
  Mata uang bertema minyak melanjutkan pergerakan kuatnya lantaran harga minyak mentah bertahan jauh di atas $80 per barel selama akhir pekan. Rubel Rusia menguji level tertinggi 14 bulan terhadap dolar di 71,6724, sementara dolar Kanada menguji level tertinggi dua bulan setelah membukukan laporan pasar tenaga kerja yang jauh lebih kuat pada hari Jumat. Kanada menambahkan 157.000 pekerjaan pada bulan September dan sekarang telah menggantikan semua pekerjaan yang hilang pada awal pandemi.
  Pasar AS akan sedikit menipis oleh libur Hari Columbus di AS, sementara pidato dari kepala ekonom European Central Bank (ECB) Philip Lane dan Frank Elderson akan dipantau untuk mencari tanda-tanda bahwa ECB - semakin menjadi berbeda terhadap tren global pengetatan moneter - mulai bereaksi terhadap tekanan inflasi yang lebih tinggi.
Mô hình Cá mập là mô hình giá hình thành trước xu hướng đảo chiều, là một trong những mô hình Harmonic mới được Scott Carney phát hiện vào năm 2011 nhưng đã được áp dụng rộng rãi trong giao dịch. Mô hình Cá mập có các đường dốc bên ngoài và phần lõm nông ở giữa tạo thành một biểu đồ trông giống như một chiếc vây lưng cá mập.To get more news about shark pattern harmonic, you can visit official website.
  Trong các mô hình Harmonic WikiFX đã đăng tải bao gồm các mô hình Gartley, Con dơi, Con cua, Con bướm thì đỉnh thứ hai trong mô hình giá tăng và đáy thứ hai trong mô hình giá giảm giá luôn thấp/cao hơn mô hình đầu tiên. Tuy nhiên, trong mô hình Cá mập giá tăng, đỉnh thứ hai lại cao hơn đỉnh thứ nhất. Hơn hết, mô hình Cá mập có tỷ lệ 113% khi kết hợp Fibonacci với lý thuyết sóng Elliott
  Cách nhận biết mô hình Cá mập (Shark Pattern)
  Mô hình Shark bao gồm năm điểm: 0, X, A, B, C. Ngoài ra, điểm kết thúc của chân B kết thúc trên sóng X. Nó kéo dài đến mức tối thiểu là 1,13 và tối đa là 1,618 tỷ lệ Fibonacci.
  Một mô hình Cá mập cần phải đáp ứng ba quy tắc sau:
  AB = đường lui giữa 1,13 - 1,618 FE của chân XA
  BC = kéo dài đến 113% FE của chân 0X
  CD = Đặt mục tiêu là 50% FR đoạn BC
  Các loại mô hình Cá mập (Shark Pattern)
  1. Mô hình Cá mập tăng giá (Bullish Shark Pattern)
Xác định trên biểu đồ điểm bắt đầu 0, có thể là bất kỳ điểm dao động cao hoặc thấp nào trên biểu đồ.
  Khi nhà đầu tư đã xác định được điểm cao/thấp đầu tiên của mình, nhà đầu tư chỉ cần theo dõi các chuyển động của sóng dao động thị trường.
  Nhà đầu tư cần có 4 điểm hoặc 4 điểm cao/thấp liên kết với nhau và tạo thành chiến lược mô hình Con cua hài hòa. Mỗi chân xoay phải được xác nhận và tuân theo tỷ lệ Fibonacci ngoại hối của mô hình Cá mập.
  2. Mua tại Điểm D, điểm này phải thỏa mãn yêu cầu CD=1,13 của chân OX
Mức thoái lui D đến X có thể nằm trong khoảng 0,886 - 1,13. Nhưng nhà đầu tư nên thực hiện các giao dịch bằng cách sử dụng phần mở rộng 1.13 là lý tưởng nhất.
  Mô hình Cá mập có một số đặc điểm chung với mô hình Con cua vì sóng D là một chuyển động giá mạnh vì cả 2 mô hình đều là mô hình Harmonic.
  3. Đặt Stop loss (Dừng lỗ)
Mức stop loss (dừng lỗ) ban đầu nên ở mức 1.150 Fibonacci mở rộng của XA và khi thị trường bắt đầu di chuyển về mức giá chốt lời đầu tiên của chúng tôi, nó sẽ được di chuyển khi kết thúc chặng D.
  Đó là nơi hợp lý để ẩn lệnh cắt lỗ của nhà đầu tư bởi vì bất kỳ sự phá vỡ nào bên dưới sẽ tự động làm mất hiệu lực của các yêu cầu Fibonacci đối với mô hình Cá mập.
  Ưu điểm lớn nhất của giao dịch theo mô hình Cá mập là yêu cầu sử dụng lệnh cắt lỗ rất chặt chẽ, giúp các nhà đầu tư muốn giảm thiểu thua lỗ và tối đa hóa lợi nhuận.
  4. Take profit (Chốt lời) nhiều lần: TP1 = 50% CD Fibonacci thoái lui; TP2 = C đu lên cao.
Do sự phức tạp và cấu trúc giá của mô hình Cá mập, chúng ta sẽ có hai vùng chốt lời.
  · Đầu tiên, Vùng TP nằm ở chân xoay của CD thoái lui Fibonacci 50% và mức thoái lui 100% đối với TP thứ hai.
· Lý do sử dụng hai vùng TP là vì về bản chất, mô hình Cá mập có thể hình thành mô hình 5-0 và khi đạt đến điểm D, nó có thể đảo ngược. Tuy nhiên, mô hình Cá mập có thể là một mô hình đảo chiều. và đó là lý do tại sao chúng tôi đang sử dụng làm mục tiêu thứ hai là tỷ lệ Fibonacci 100%.

Gold was down on Friday morning in Asia, but was set for its best week in more than five months. Declines in both the dollar and U.S. Treasury yields also capped the yellow metals losses even as the U.S. Federal Reserve prepares to begin asset tapering.To get more news about forexklab, you can visit official website.
  Gold futures edged down 0.11% to $1,795.95 by 11:55 PM ET (3:55 AM GMT), after hitting a one-month high of $1,800.12 on Thursday. It is up 2.1% for the week so far. The dollar, which normally moves inversely to gold, inched up on Friday.
  Although the recovery in the U.S. job market is widely viewed as sufficient for the Fed to begin tapering as planned in November 2021, divisions remain even among the central banks officials.
  Global policymakers should continue to monitor pricing dynamics closely, but also “look through” inflationary pressures that are transitory and will fade as economies normalize, the International Monetary Funds steering committee said on Thursday.
  U.S. data released on Thursday showed that the producer price index rose 0.5% month-on-month in September, and a lower-than-expected 293,000 initial jobless claims were filed throughout the week. Further data, including retail sales as well as the University of Michigan consumer sentiment and Michigan consumer expectations indexes, will be released later in the day.
  Meanwhile, miner Barrick Gold Corp. (NYSE:GOLD) on Thursday reported a nearly 5% rise in third-quarter gold production from the previous three months, thanks to increased output at its Veladero mine in Argentina.
  In other precious metals, silver fell 0.4% to $23.45 per ounce but set for its biggest weekly gain in seven. Platinum eased 0.1% to $1,054.09, after hitting its highest level since Aug. 2 at $1,062.50 on Thursday, while palladium edged up 0.2%.
It‘s been previously discussed that October tends to be a bullish month for gold prices, typically as risk appetite wanes in other parts of financial markets. But this October, there’s much ado about nothing – so far. Gold prices traded up near 1760 on October 1, and since then, have spent every day trading right around 1760.To get more news about exness broker, you can visit official website.
  Now that the US debt ceiling debate has been kicked down the road to December, and fears around China‘s property market are simmering – some days bring worse news than others, but nothing too significant yet – there aren’t many viable catalysts for a significant gold price rally on the horizon. And with the fact remaining that the FOMC continues to offer clear signals that tapering is arriving soon, gold prices still have considerable fundamental headwinds working against them.
  Historically, gold prices have a relationship with volatility unlike other asset classes. While other asset classes like bonds and stocks don‘t like increased volatility – signaling greater uncertainty around cash flows, dividends, coupon payments, etc. – gold tends to benefit during periods of higher volatility. Recent signs of falling gold volatility aren’t a good omen for gold prices.
Gold volatility (as measured by the Cboes gold volatility ETF, GVZ, which tracks the 1-month implied volatility of gold as derived from the GLD option chain) was trading at 16.52. The relationship between gold prices and gold volatility is normalizing, insofar as the 5-day correlation is becoming less positive this week while the 20-day correlation remains in negative territory. The 5-day correlation between GVZ and gold prices is +0.42 while the 20-day correlation is -0.46. One week ago, on October 5, the 5-day correlation was -0.70 and the 20-day correlation was -0.84.
  Gold prices‘ technical structure on the weekly timeframe remains weak in spite of the recent rebound on lower timeframes. The weekly 4-, 13-, and 26-EMA envelope’s negative slope remains in place, while weekly MACD continues to drop further below its signal line. Weekly Slow Stochastics are holding at the median line, however. For now, the outlook persists that “selling the rally may be the modus operandi henceforth.
On July 17th, Davinci Dynamics will celebrate its 2021 OPEN DAY and officially launch its first electric motorcycle model: DC100.To get more news about davincidynamic, you can visit official website.
As an electric motorcycle, the DC100 has powerful performance that can rival the liter bike (1000cc class). Also, it is a two-wheeled, dynamic robot offering an optimized, smart and passionate riding experience.The DC100, a futuristic café racer, is designed to allow riders to fully experience the joy of riding: simple design, delivering outstanding performance, and effortless handling. In terms of performance, DC100 has a peak power of 100.75 kW (137 hp) and a peak torque of 850 Nm.

The charging of DC100 is widely accessible at great ease. The motorcycle is powered by a ternary lithium battery pack with high energy density. The battery, compatible with high-voltage platforms and capable of high-rate charge/discharge, can use level 3 DC fast charges which deliver a 0-100% charge in about 30 minutes.

On the basis of the outstanding performance, DC100 is a wheeled robot that offers an optimized control experience. With the vehicle’s integrated control system, DC100 delivers instant acceleration at every twist, and a simple and optimal balance of braking for enhanced safety and control. Unlike traditional motorcycle’s complexity control, DC100 combines reverse assist and hill assist – which ensures riders can reverse easily even on an incline and to optimize both balance and energy recovery.

In addition, DC100’s smartphone app – Davinci is launched at the same time. The phone is not only the key, and the dashboard. While riding, it integrated map navigation without having to switch apps. The app can also obtain real-time vehicle condition information, geo-locate the vehicle, and support vehicle system upgrades through FOTA.
Beijing Da Vinci dynamics has launched DC100, a high-performance street electric bicycle with impressive 400 km NEDC autonomy and some strange "robot" skills, such as the so-called self balancing ability, to follow you at any time.To get more news about DC100, you can visit official website.

Some basic specifications are a little difficult to understand. First, although its maximum power is 135 horsepower, which belongs to the category of "fast electrical", the company said that it has "an intelligent control system that perfectly integrates various engines". What now? Multi engine? Another press release said it actually had 137 horsepower and was driven by an engine bushing.
The maximum torque is about 850 nm, but Bush engines usually have wild torque specifications; For example, with an engine bushing, it doesn't even need more than 1000 nm. The DC100 sprints at a speed of 0 to 100 km / h in about 3-4 seconds.

Then there is the battery, a 17.7 kwh unit, with a fast charging capacity of level 3 in 30 minutes. Unless Leonardo da Vinci makes an impressive leap in efficiency, we would say that 400 km autonomy is very optimistic.

Brake ABS and traction control are standard. What's more interesting is the "crawling" function of DC. When you release the brake lever, it will make the motorcycle move forward slowly, just like in an autonomous car.

It has a slow reverse function to get rid of uncomfortable parking conditions, and has the ability to know that it is at an angle to make the slope start assist and automatic soft regenerative braking drop the rechargeable battery, and ensure that it will not accelerate unexpectedly.

"Soon" may be in the OTA software update, which is really strange. "Using EPS and six axis IMU, DC100 will be able to balance itself." EPS, we believe, means electronic power steering, which will enable the motorcycle not to shake without side frame descent. "Imagine that your bike is your running partner."

There is also an app to remotely control the bike, so you can cover your clothes and let your bike approach you quietly from where you park. These do not seem to be an unsolvable problem. We are just very surprised that it has reached a motorcycle production.
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