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Mă interesează o detaliere a ceea ce se numeşte "analiză fundamentală". Am înţeles ce presupune, în mare, o analiză fundamentală dar aş dori să aprofundez subiectul. Dacă ştiţi cărţi, linkuri sau articole ce se ocupă de acest segment v-aş ruga să le împărtăşiţi. ;)

 

Mă interesează în special aspecte legate de macro-economie, de interdependenţa dintre diferiţi indici şi indicatori şi diferitele segmente ale economiei. Am citit câteva articole legate de cei mai importanţi indicatori şi câteva cărţi ce aveau un capitol dedicat analizei fundamentale, însă, doar generalităţi erau expuse. Mă interesa să aflu concret cum se formează acei indicatori sau indici şi cum influenţează ei economia unei ţări. Mai mult, mă interesa cum influenţează economia unei ţări moneda altei ţări, şi alte aspecte de acest gen...

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  • Un mic fisier cu descrierea principalilor indicatori economici. Fisierele excel cu rapoartele economice sunt exceptionale. Sa multumim autorilor pentru munca depusa. Reports.zip - contine cele mai imp

  • Release Date: September 21, 2011   For immediate release   Information received since the Federal Open Market Committee met in August indicates that economic growth remains slow. Recent indicators

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17:00 USD

Pending Home Sales m/m

10.4% 1.4% -4.6%

 

 

 

Later edit:

nici o reactie deocamdata, se digera ce s-a imbucat mai devreme

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  • 2 săptămâni mai târziu...
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STATEMENT BY THE EURO AREA HEADS OF STATE OR GOVERNMENT

The European Union and the euro area have done much over the past 18 months to improve

economic governance and adopt new measures in response to the sovereign debt crisis. However,

market tensions in the euro area have increased, and we need to step up our efforts to address the

current challenges. Today we agreed to move towards a stronger economic union. This implies

action in two directions:

- a new fiscal compact and strengthened economic policy coordination;

- the development of our stabilisation tools to face short term challenges.

 

...

http://consilium.europa.eu/uedocs/cms_data/docs/pressdata/en/ec/126658.pdf

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...m-am uitat http://www.reuters.com/ dar nu este scris nimic de aceasta conferinta,....s-au poate ca eu nu am tras atentia,...

@Cernolev ... iaca acilea:

post-2377-0-39858000-1323454430_thumb.jpg

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The average yiekld paid by Italy to issue 12-m debt has fallen from 6.086pct at previous auction to 5.952 pct. Rome got away what it wanted

 

twitter.com

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Federal Reserve officials said their benchmark interest rate will stay low until at least late 2014 and anticipate that unemployment will remain high and inflation “subdued.” “The Committee expects to maintain a highly accommodative stance for monetary policy,” the Federal Open Market Committee said in a statement released in Washington today. “Economic conditions -- including low rates of resource utilization and a subdued outlook for inflation over the medium run -- are likely to warrant exceptionally low levels for the federal funds rate at least through late 2014.”

http://www.forexfact...=news&id=338631

 

Deci ...hai la vanatoare de vehicule ... investitionale

 

Later edit:

Cum, de ce?

Avem dolari ieftini ...

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  • 1 lună mai târziu...
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What is the NFP report?

Of all the world monthly economic reports, the monthly U.S. Non Farm Report (NFP) is the most highly anticipated and has the most dramatic impact on the currency market.

The report, which is released on the first Friday of each month and states the previous month's numbers, provides detailed industry data on employment, hours and earnings of workers on nonfarm payrolls. These numbers are the best way to gauge the current state of the US market as well as the direction that the economy is heading.

What's more, the employment numbers provided by the report are used by the Fed to shape their interest rate policies. The health of the U.S. economy and interest rates translate to the strength or weakness of the U.S. dollar.

Risks Associated with Trading Off-Exchange Retail Foreign Currency During Economic News Announcements

As with all major economic releases, there could be significant price volatility with this announcement. Currency spreads will typically widen just before the release and will remain wide for a few minutes after. If the announcement is a shock to the consensus estimate, the price of the currency pair could gap significantly. For example, the price on the EURUSD trading at 1.2820 - 1.2822 just before release could gap up 60 pips to 1.2880 - 1.2882, without any available prices available between the price of 1.2820 and 1.2882. A Buy Stop placed before the announcement at 1.2830 would turn into a Market Order and would be filled at the prevailing price 1.2882. The same would be true with a Sell Stop.

Approximately four years ago we saw a gap of approximately 200 pips on the GBPUSD on a Non-Farm Payroll announcement. While this is an extreme example, it nevertheless is a possibility with trading during economic announcements. Consequently, plan on the spreads widening and, if you are trading with a Buy or a Sell Stop entry order, do not anticipate being filled at your entry price. You will be filled at the prevailing market price after the release, which could be significantly different from your desired price of your entry order.

Please be advised that due to the volatility of price fluctuations during the news, it is possible to see a delay in execution due to the additional verification necessary for each trade.

We would like to thank you for your continued support and wish you success in your trading.

Best Regards,

IBFX

  • 1 an mai târziu...
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Salutare!

 

O intrebare si rugaminte de cateva explicatii, pentru batranii tradingului: de ce pe datele econmice proaste pe CAD, in final acesta s-a apreciat pe mai toate perechile?? Am cam luat-o in freza din cauza lui.

 

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