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Lukman's Week Ahead | 12/11/2019

Every Monday at 13:00 GMT, our market expert will be on hand to tackle the week’s most significant market developments and their impact on the currency, commodity and equity markets. In his first presentation on the 12th of November, Lukman takes on: • Geopolitical tensions weigh on global sentiment • US retail sales under the spotlight • Oil prices influenced by trade developments • Technical and fundamental setups to watch out for

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Latest Market Research Articles

Markets keep dancing on trade headlines
Hussein Sayed

5 December @ 09:11

By Hussein Sayed, Chief Market Strategist (Gulf & MENA)

Markets keep dancing on trade headlines
Equity markets recover on hopes of US-China trade deal Weak US economic data drive the dollar lower Sterling breaks above 1.28-1.30 range on expectations of Conservative majority   After a steep fall in global equity markets over the first two trading days of December, sentiment... Read full post
Global markets shaken by fresh trade concerns
Lukman Otunuga

4 December @ 11:31

By Lukman Otunuga, Research Analyst

Global markets shaken by fresh trade concerns
Risk aversion returns on possible delay in trade deal Dollar hit by disappointing economic data Pound to remain choppy ahead of general elections Gold rises from the ashes and eyes $1492 It is another day, but the same old story with trade developments as conflicting signals on the... Read full post
Gold explodes higher on fresh risk aversion; Oil slips
Lukman Otunuga

3 December @ 17:42

By Lukman Otunuga, Research Analyst

Gold explodes higher on fresh risk aversion; Oil slips
Gold staged an incredibly rebound on Tuesday, jumping over 1% against the Dollar after U.S President Donald Trump said that a trade deal with China could be delayed until the 2020 elections. Given how the delay will most likely result in prolonged uncertainty and tensions between the worlds two... Read full post
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