Site Navigation
Forex Articles
What Day Traders Can Learn From Sesame Street
120 Billion Reasons to Sell the Yen!
Candlesticks and Overall Technical Picture
How To Develop Trading Strategies
4 Powerful Pivot Point Strategies
Forex Trading Strategy - Channel Breakout
Sponsor
October 2008 - Forex Blog Archive - entries
US Consumer Spending slows, UMichigan Confidence drops. US Dollar gains in forex trading. October 31, 2008
Canadian GDP contracts by 0.3% in August. October 31, 2008
US GDP contracts in 3rd Qtr, weekly jobless claims steady. Dollar gains in Fx Trading. October 30, 2008
U.S. Fed cuts interests rates 50 basis points to 1%. Dollar falls today in forex trading. October 29, 2008
Consumer Confidence hits record low in October. House Prices decline. Dollar falls in Forex Trading. October 28, 2008
US New Homes sales rise unexpectedly in September. Dollar, yen start week off strong in forex trading. October 27, 2008
US Existing Home Sales rise 5.5% in September. Dollar, Yen rise on turbulent day. October 24, 2008
UK GDP falls more than expected in 3rd Quarter. October 24, 2008
UK Retail Sales drop in September, Mortgage Approvals rise. Pound falls in currency trading. October 23, 2008
New Zealand cuts interest rate by 100 basis points to 6.50%. October 22, 2008
Canadian Retail Sales, Leading Indicators fall. Loonie continues to fall in Forex Trading. October 22, 2008
Bank of Canada lowers interest rate by 25 basis points. Canadian Dollar falls in Forex Trading. October 21, 2008
US Leading Indicators bump up in September. Bernanke backs 2nd stimulus. Dollar gains in currency trading. October 20, 2008
US Confidence drops in October, Housing Starts, Permits fall. Dollar falls vs. most major currencies this week. October 17, 2008
US Consumer Prices flat, jobless claims fall. Dollar mixed in forex trading. October 16, 2008
US Retail Sales fall, Producer Prices decline. US Dollar gains in Fx Trading. October 15, 2008
U.K. consumer prices prices gain in September. Dollar mixed in Forex Trading. October 14, 2008
US Trade deficit decreases in August. Dollar mixed in Forex Trading, gains for the week. October 10, 2008
US Weekly Jobless Claims fall. UK, German trade narrow. Dollar mixed in Forex Trading. October 9, 2008
Major Central Banks coordinate interest rate cuts. Yen and U.S. Dollar climb amid turbulence. October 8, 2008
Australia reduces interest rate to 6.0%. Aussie dollar falls in currency trading. October 7, 2008
Yen, Dollar rise as credit crisis fears spread. October 6, 2008
U.S. Nonfarm Payrolls fall more than expected in September. US Dollar mixed in Fx Trade. October 3, 2008
European Central Bank holds rate steady, Producer Prices fall. Euro tumbles in forex trading. October 2, 2008
US ADP Employment, Manufacturing decrease, Dollar gains vs. Euro, Pound. October 1, 2008