Monday, June 20, 2016

#USD #BREXIT Best Strategies for Volatility

For Sophisticated Investors / Traders:

Expectation of higher VOLATILITY in a fundamentally motivated market is already a given.

However it may be, what is significantly important is how would investors and traders prepare or position the trades for these type of market risks before and after the fact. Sophisticated Tactical investors who are well positioned before these event risk takes place have already weigh and be willing to assume the probabilities of any adverse price swings the market will make. As such certain price parameters including strategies are ready to be applied whenever called for. This includes immediate price reactions across the board on all correlated currency pairs including Crosses with CABLE, EURO, YEN and the US Dollar for the interim week ahead.

Click here to continue: Expectation of higher VOLATILITY

1 comment:

  1. Cash CABLE and the underlying assets held under management of UK Gilts in the bonds market that would be directly affected with the BREXIT Vote if not properly 'Hedge'. Great move considered as outcome have protected asset value in a given market from the UK vote

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