Risk off this morning. Money flowing into US$ and US bonds. No E$ chart this morning. Not even close to any supply or demand area I'm looking for on the daily and the spike last week invalidated the last zone.
China didn't lower the RRR again which started the "risk off" slide in the Aussie and commodities.
IIF and Greece still kicking the debt swap deal now saying they should finish it this week. IMHO I think they will kick this can until the last minute and come up with some 11th hour deal.
China didn't lower the RRR again which started the "risk off" slide in the Aussie and commodities.
IIF and Greece still kicking the debt swap deal now saying they should finish it this week. IMHO I think they will kick this can until the last minute and come up with some 11th hour deal.
I don't care which way the market is going as long as it's going my way