Elliott Wave International - Newsбез даты Текст источника в новой вкладке
Our quick insights during the week challenge the way you think about the financial markets, the economy and more.
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1. EU Stocks: What Do Wild Sentiment Swings Say About the Trend?Чт., 12 апр.[−]

European markets have been choppy -- and market sentiment has seen wild swings, too. ElliottWaveTV sat down with Brian Whitmer, editor of our monthly European Financial Forecast, to get his take, check on the health of the EU credit markets -- and on the threat of "trade wars" going global.

2. European Bonds: Next Shoe to Drop?Ср., 17 янв.[−]

With mood rising across Europe, stocks are following suit. Even Brexit is being talked about in less urgent terms. Yet, in this new interview with ElliottWaveTV, our European Financial Forecast editor, Brian Whitmer, tells you why -- from his point of view -- this is not the time to relax.

3. Global Perspective: What This "Double Top" Strongly SuggestsСр., 20 дек. 2017[−]

A "double top" has formed in the chart pattern of a major global financial market. Our analyst shows a chart, spells out his analysis and then anticipates what's next.

4. Here's Why the U.S. Dollar Bears Shouldn't Get Too ComfortableЧт., 14 дек. 2017[−]

This chart shows you an indicator that's absolutely critical to the direction of the euro, and the dollar -- namely, sentiment. The market's temperature, if you will...

5. Big Red Flag for This Major Global MarketВт., 05 дек. 2017[−]

The behavior of one group of stocks will sometimes provide a clue about what to expect from the broad market. Right now, this is happening in a major European country. Here are the important details...

6. 2 Charts That Illustrate European Markets' Topping ProcessЧт., 16 нояб. 2017[−]

In this new interview with Brian Whitmer, the editor of our European Financial Forecast, he tells you why Europe is in the midst of a long, slow topping process. Find out what this slow top suggests for markets and the EU as a whole.

7. Here's What Implies an Even Bigger Global "Credit Crisis" Than 2007-2009Ср., 15 нояб. 2017[−]

Right now, the global financial system seems to be light years away from the awful scare that occurred between 2007 and 2009. But, another "credit crisis" may be just around the corner. Learn how credit availability in this major nation is expected to change during the next three months.

8. What Stocks Tell You about Catalonia's Independence MoveСр., 18 окт. 2017[−]

In this new interview with Brian Whitmer, who edits our European Financial Forecast and contributes to Global Market Perspective, he explains why you need to only look at Spain's stock market to understand the separatist movement. Find out what Spain's polarization means for Catalonia's independence move going forward.

9. Europe: How Bond Investors Get Wiped OutСб., 26 авг. 2017[−]

Wipe out! That's what can happen when investors reach for yield in high-risk debt instruments. See a stunning European example.

10. The Euro, European Stocks & More: How to Spot a Hot OpportunityВт., 15 авг. 2017[−]

Right now, the euro is approaching a point you need to know about. Watch this clip from a new interview with Chris Carolan, our Global Opportunities Expert, for details.

11. North Korea, Gold, European Trends and MoreПт., 11 авг. 2017[−]

Financial writers often make the news "fit" the price action of a market -- first we explore tensions with North Korea and gold's rising price. Next we reveal the biggest sign a key European sector is overheating. Plus, our Chief Energy Analyst discusses the two types of energy ETFs to be aware of.

12. Europe, Metals & Energy – New Forecasts & AnalysisПт., 14 июля 2017[−]

New insights from our European Markets Expert Brian Whitmer. Plus, learn what momentum is signaling across the metals markets. And lastly, this is why it's important to keep the bigger market trend in mind -- case in point: crude oil.

13. Real Threats, Real Markets: GMP Preview Looks at "What to Fear"Сб., 08 июля 2017[−]

Global market charts you won't see elsewhere show "What" -- and What Not -- to Fear.

14. Debt Crisis 2.0: How the Pieces are Falling into PlaceСр., 21 июня 2017[−]

As the amount of household debt rises, so does the risk of another financial crisis. A new milestone has been reached in the U.S. But a chart shows that the dangers of debt are global.

15. EURUSD: How to "Peek" Around 2 "Corners" at OnceПт., 16 июня 2017[−]

As is often the case before a big news event, EURUSD went mostly sideways into the June 14 Fed meeting. Traders were waiting to see what the Fed does and says. But here's what Elliott wave forex traders saw...

16. British Pound Falls… Why This Goes Deeper Than the UK Election ShockerПт., 09 июня 2017[−]

When calculating the odds of a political victory, accounting for voters' mood may be more important than adding up all the rational pros and cons. Financial markets are also governed by traders' collective mood to a much larger degree than the mainstream finance has been willing to consider.

17. GMP Preview: Has Investor "Courage" Gone "Crazy"?Вт., 06 июня 2017[−]

See 3 global market charts that answer the question, Has Investor "Courage" Gone "Crazy"?

18. FAIL-outs! 7 Years and 4 Bailouts Have NOT Saved Greece's Stock MarketВт., 06 июня 2017[−]

True or False: If the eurozone government and IMF start withholding their bailout payments to Greece, then Greek shares will fall. If you answered true, then this story is a must-read!

19. EURGBP: A Picture of Elliott Wave PrecisionПн., 22 мая 2017[−]

One minute, strong UK economic data “causes” the British pound to surge against the euro. And then the next, that same data… is futile against a pound selloff. Any questions? The real story behind the EURGBP leaves no room for doubt!

20. Debt, Politics, and Russia: A "Spike" Dead Ahead?Ср., 17 мая 2017[−]

Charts like this one show that markets can anticipate huge shifts in broad psychology: Another dangerous spike may be just around the bend.

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