Revisiones analíticas

Las revisiones analíticas de Forexmart proporcionan información técnica actualizada sobre el mercado financiero, que van desde tendencias bursátiles hasta proyecciones financieras, informes de economía mundial y noticias políticas que afectan al mercadoLeer más

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Adjustment of Levels and Targets for the U.S. Session on August 18th
06:15 2025-08-18 UTC--5

The British pound, as has become common practice, was traded today using the Mean Reversion strategy. However, for other trading instruments, including the yen, I did not see anything of interest. As a result, I did not trade using Momentum.

A sharp contraction in the eurozone trade balance led to a decline in the euro. The widening trade deficit, driven by U.S. tariffs and weakening global demand, placed significant pressure on the single European currency. Investors, concerned about the deteriorating economic outlook for the region and the growing risk of recession, began actively offloading euro-denominated assets. Under these conditions, the European Central Bank will also have to take this into account. In the long term, restoring the competitiveness of the European economy and offsetting the damage from tariffs could help the euro strengthen. However, in the short term, the outlook for the single currency remains uncertain and depends on many factors, including global economic trends.

In the second half of the day, U.S. housing market data from the NAHB index will be released. This indicator, reflecting homebuilders' confidence in the prospects for new home sales, is an important barometer of the U.S. housing market's health. Analyst expectations vary, but most forecast a slight increase in the index. If expectations are not met, it could serve as another sign of slowing activity in the sector, driven by rising mortgage interest rates and overall economic uncertainty.

In the case of strong data, I will rely on implementing the Momentum strategy. If the market shows no reaction to the release, I will continue using the Mean Reversion strategy.

Momentum Strategy (breakout) for the second half of the day:

For EUR/USD

  • Buying on a breakout of 1.1698 may lead to growth toward 1.1730 and 1.1770;

Selling on a breakout of 1.1666 may lead to a decline toward 1.1635 and 1.1601.

For GBP/USD

  • Buying on a breakout of 1.3555 may lead to growth toward 1.3587 and 1.3615;
  • Selling on a breakout of 1.3530 may lead to a decline toward 1.3510 and 1.3479.

For USD/JPY

  • Buying on a breakout of 147.60 may lead to growth toward 147.85 and 148.20;
  • Selling on a breakout of 147.30 may lead to declines toward 147.00 and 146.65.

Mean Reversion Strategy (pullback) for the second half of the day:

analytics68a306af89bdd.jpg

For EUR/USD

  • I will look for selling opportunities after a failed breakout above 1.1700, on a return below this level;
  • I will look for buying opportunities after a failed breakout below 1.1658, on a return above this level.

analytics68a306bbed459.jpg

For GBP/USD

  • I will look for selling opportunities after a failed breakout above 1.3558, on a return below this level;
  • I will look for buying opportunities after a failed breakout below 1.3524, on a return above this level.

analytics68a306c2f3049.jpg

For AUD/USD

  • I will look for selling opportunities after a failed breakout above 0.6527, on a return below this level;
  • I will look for buying opportunities after a failed breakout below 0.6507, on a return above this level.

analytics68a306cca3a4c.jpg

For USD/CAD

  • I will look for selling opportunities after a failed breakout above 1.3810, on a return below this level;
  • I will look for buying opportunities after a failed breakout below 1.3785, on a return above this level.

    






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El mercado de divisas es altamente especulativo y complejo por naturaleza, y puede no ser adecuado para todos los inversores. Las operaciones en Forex pueden resultar en ganancias o pérdidas sustanciales. Por lo tanto, no es aconsejable invertir dinero que no puede permitirse perder. Antes de utilizar los servicios ofrecidos por ForexMart, reconozca los riesgos asociados con las operaciones en Forex. Busque asesoramiento financiero independiente si es necesario. Tenga en cuenta que ni el rendimiento pasado ni los pronósticos son indicadores confiables de resultados futuros.
El mercado de divisas es altamente especulativo y complejo por naturaleza, y puede no ser adecuado para todos los inversores. Las operaciones en Forex pueden resultar en ganancias o pérdidas sustanciales. Por lo tanto, no es aconsejable invertir dinero que no puede permitirse perder. Antes de utilizar los servicios ofrecidos por ForexMart, reconozca los riesgos asociados con las operaciones en Forex. Busque asesoramiento financiero independiente si es necesario. Tenga en cuenta que ni el rendimiento pasado ni los pronósticos son indicadores confiables de resultados futuros.