Jeopolitik Gerilimler ve Zavallı Çin Duyguları, Altının Parıldamasını ve Yendeki Yükselişleri Ağırlaştırıyor

Pazar Özetler

The financial markets are generally weighed down by risk aversion. Geopolitical tensions heightened after US blamed Iran for involving in the oil tanker attacks near the entrance to the Persian Gulf on Thursday. But Iranian officials denied any involvement and reiterated calls for a regional dialogue. Adding to that China’s data showed notable slowdown in both fixed asset investments and industrial production, indicating further impact from trade war with the US.

Gold finally breaks through 1348.22 resistance to resume medium term rally, reaching as high as 1358.16 so far. WTI crude oil is hovering at around 52.2 for now, after defending 50 handle again earlier this week. IN the currency markets, commodity currencies are the weakest one, as led by New Zealand Dollar after poor NZ PMI manufacturing. Yen is currently the strongest one, followed by Euro and Swiss Franc.

Technically, EUR/JPY finally breaks 112.10 minor support, which suggests that corrective recovery from 120.78 has completed at 123.18. Deeper fall should be seen back to retest 120.78 low. In terms of down trend resumption, USD/JPY and GBP/JPY could lead the way through 107.81 and 136.55 respectively. These two levels are worth a watch today. For now, EUR/USD is holding above 1.1251 minor support. Thus, Euro is having an upper hand over Dollar. But break will reverse their fortune.

- Not: firmamız bir yarattı karlı forex robotu düşük riskli ve sabit karla aylık% 50-300!-

In Europe, major indices open mildly lower with FTSE down -0.28%, DAX down -0.31% and CAC down -0.22%. German 10-year yield is down -0.0021 at -0.260. In Asia, Nikkei closed up 0.40%. Hong Kong HSI is down -0.79%, China Shanghai SSE closed down -0.99%. Singapore Strait Times is down -0.23%. Japan 10-year JGB yield is down -0.016 at -0.126. Overnight, DOW rose 0.39%. S&P 500 rose 0.41%. NASDAQ rose 0.57%. 10-year yield dropped -0.036 to 2.091, back below 2.1 handle.

Gold breaks key resistance as up trend resumes finally

Gold finally resumes recent up trend by breaking through 1346.71 resistance decisively and reaches as high as 1358.16 so far. Further rise should now be seen to 61.8% projection of 1160.17 to 1346.71 from 1266.26 at 1381.54 next. And in any case, near term outlook will remain bullish as long as 1319.95 support holds, in case of retreat. More in this quick comment.

661 US Companies and Associations urged Trump to avoid tariff escalation

In an open letter to Trump, 661 US Companies and Associations urged the administration to avoid tariff escalation with China. Instead, the administration should try to reach resolution with China on trade. The letter came as US Trade Representative is set to start hearings regarding 25% tariffs on USD 300B, essentially all untaxed, Chinese imports. The letter, lead by “Tariffs Hurt the Heartland” campaign,w as signed by 520 companies and 141 trade associations. .

“We remain concerned about the escalation of tit-for-tat tariffs,” the letter states. “We know firsthand that the additional tariffs will have a significant, negative and long-term impact on American businesses, farmers, families and the U.S. economy. Broadly applied tariffs are not an effective tool to change China’s unfair trade practices. Tariffs are taxes paid directly by U.S. companies, including those listed below – not China.”

“We urge your administration to get back to the negotiating table while working with our allies to develop global, enforceable solutions. An escalated trade war is not in the country’s best interest, and both sides will lose,” the companies and associations added.

Yeni Zelanda İmalat PMI, aşağı yönlü risklerin birikmesiyle 50.2'den bu yana en düşük seviyesi olan 2012'ye düştü

Yeni Zelanda BusinessNZ İmalat PMI Mayıs ayında 50.2'den 52.7'ye düştü. Ayrıca bu, Aralık 2012'den bu yana görülen en düşük değer. BusinessNZ'nin imalattan sorumlu genel müdürü Catherine Beard, özellikle alt endeks değerleri incelendiğinde, faaliyetin altı yıldan uzun süredir en düşük noktasına gerilemesinin açıkça endişe verici olduğunu söyledi.

Şunları ekledi: "Üretim (46.4) Nisan 2012'den bu yana en düşük değerini alırken, diğer önemli yeni siparişler alt endeksi (50.4) ancak pozitif bölgede kalmayı başardı. İkincisinin birinciyi beslediği göz önüne alındığında, sektörün önümüzdeki birkaç ay içinde sağlam bir iyileşme göstereceğine dair güçlü bir inanç uyandırmıyor”.

BNZ Kıdemli Ekonomisti Doug Steel şunları söyledi: "PMI, düşen üretim, neredeyse sabit yeni siparişler ve artan stokların birleşimi yoluyla kısa vadeli büyüme için bir uyarı sinyali gönderiyor. Gelecek haftanın 1. Çeyreği GSYİH'sı makul olmalı, ancak bunun ötesinde aşağı yönlü riskler birikiyor”.

Euro’s international role recovered in period of trade tensions and protracted slowdown

ECB said in a report yesterday that euro’s international role strengthened in 2018 and early 2019 reversing a declining trend in recent years. Share of Euro as global reserve currency rose 1.2% in 2018, up from 19.5% to 20.8%. The euro’s share in international debt issuance and international deposits also increased, together with its share in the value of outstanding international loans.

ECB President Mario Draghi said that the period was “characterized by growing concerns about the impact of international trade tensions, a protracted slowdown in global growth, reversals in cross-border capital flows and challenges to multilateralism, including the imposition of unilateral sanctions.:

“On balance, these developments, together with progress towards deepening Economic and Monetary Union (EMU), seem to have had a positive effect on the international use of the euro, which showed tentative signs of recovering from historic lows.”

başka yerde

Çin'in sabit varlık yatırımı mayıs ayında yıllık %5.6 artış göstererek %6.1'lik beklentinin altında kaldı. Sanayi üretimi yıllık bazda %5.0 artış göstererek %5.4'lük beklentinin altında kaldı. Bununla birlikte perakende satışlar yıllık bazda %8.6 olan beklentilerin üzerinde %8.0 arttı. İşsizlik oranı değişmeyerek %5.0 seviyesinde kaldı. Japonya'da sanayi üretimi Nisan ayında aylık %0.6 seviyesinde gerçekleşti.

Looking ahead, US retail sales will be the major focus. Industrial production, business inventories and U of Michigan sentiment will also be featured.

EUR / JPY Günlük Görünüm

Günlük Pivotlar: (S1) 122.05; (P) 122.31; (R1) 122.49; Daha….

EUR/JPY’s break of 122.10 minor support suggests that corrective recovery from 120.78 has completed at 123.18 already. Intraday bias is turned back to the downside for retesting 120.78 first. Break there will resume whole decline from 127.50 and target 118.62 low next. In case of another rise, we’d continue to expect strong resistance form 123.73 to complete the recovery to bring fall resumption.

In the bigger picture, down trend from 137.49 is still in progress with the cross staying inside long term falling channel. Break of 118.62 will extend the fall to 109.48 (2016 low). On the upside, break of 127.50 resistance is needed to be the first sign of medium term reversal. Otherwise, outlook will remain bearish in case of strong rebound.

Ekonomik Göstergeler Güncellemesi

GMT Ccy Etkinlikler Gerçek Tahmin Önceki Revize
22:30 NZD BusinessNZ İmalat PMI Mayıs 50.2 53 52.7
4:30 JPY Endüstriyel Üretim A/A Nis F %0.60 %0.60 %0.60
7:00 CNY Duran Varlıklar Ex Kırsal YTD Y/Y Mayıs %5.60 %6.10 %6.10
7:00 CNY Sanayi Üretimi Y / Y Mayıs %5.00 %5.40 %5.40
7:00 CNY Perakende Satış Y / Y Mayıs %8.60 %8.00 %7.20
7:00 CNY Araştırmaya Göre İşsizlik Oranı Mayıs %5.00 %5.00
12:30 USD Perakende Satış Avansı A/A Mayıs %0.70 -0.20%
12:30 USD Perakende Satışlar Ex Auto M / M Mayıs %0.40 %0.10
13:15 USD Endüstriyel Üretim M / M Mayıs %0.20 -0.50%
13:15 USD Kapasite Kullanımı Mayıs %78.00 %77.90
14:00 USD Mich. 98 100
14:00 USD İş Envanterleri Nis %0.40 %0.00

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