vendredi 9 janvier 2015

Weekly market preview – 12 January 2015

With a big week in the market just gone, trading activity and excitement seems to have built up given the volatility seen as a result of the plummeting oil prices and continued talk of the possible introduction of a QE programme by the ECB later this month. The week ahead looks somewhat more mixed, with real major releases somewhat few and far between. In the US, the release of retail sales provides us with a greater degree of understanding regarding consumer behaviour. Meanwhile in the UK the CPI figure due out on Tuesday is going to be absolutely crucial following the oil induced fall into deflation for the eurozone. On the topic of the eurozone, the European court of justice ruling on Wednesday will bring the validity of the OMT programme back to the fore.



In Asia, the lack of any major releases means that we will be looking towards Australia as the main source of overnight newsflow. The Australian jobs report on Thursday represents the most significant release to watch out for.

Weekly market preview – 12 January 2015

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