GBP/USD:在经济不确定性和技术指标中导航市场波动
GBP/USD: Navigating Market Volatility Amid Economic Uncertainties and Technical Indicators

GBP/USD:在经济不确定性和技术指标中导航市场波动
GBP/USD: Navigating Market Volatility Amid Economic Uncertainties and Technical Indicators


GBP/USD货币对目前正在处于一个具有挑战性的市场环境,该对货币对交易在1.2650水平以下。由于美联储鹰派前景和美元强势。该对货币对最近回到38.2%的斐波那契回撤水平以下,暗示着前景看跌。另一方面,英镑受到英格兰银行(BoE)激进的政策收紧带来的拖累。市场也担心由于高通胀和飙升的利率,英国可能朝着衰退的方向前进。同時, 英镑的投机性购买以创纪录的速度增加,如果市场转向,可能会加剧未来的损失。然而,如果美国汇率反弹消失,或者如果美联储首选的核心通胀指数进一步软化,英镑可能会反弹。

The GBP/USD pair is currently navigating a challenging market environment, with the pair trading below the 1.2650 level. The pair is under selling pressure due to the hawkish outlook of the Federal Reserve and the strengthening of the US dollar. The pair is vulnerable below the 38.2% Fibonacci retracement level of the latest uptrend, suggesting a bearish outlook. On the other hand, the British pound is weighed down by concerns about economic headwinds from aggressive policy tightening by the Bank of England (BoE). The market is also concerned about the UK heading towards a recession due to high inflation and soaring interest rates. Speculative buying of the pound has increased at a record rate, which could exacerbate future losses if the market turns. However, the pound could rebound if the current rebound in US exchange rates fizzles out or if the Fed’s preferred measure of core inflation softens further.

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