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Market Insight

FX Options Insights: NFP Volatility

FX Options Insights: NFP VolatilityImplied volatility serves as an indicator of actual volatility, which is an essential factor in determining the premium of an FX option. The overnight expiry occurs...

Institutional Insights: Goldman Sachs SP500 Positioning & Key Levels 3/6/25

Goldman Sachs US Equity Positioning and Key Levels FICC and Equities | 2 June 2025 | Below is a concise recap of key GS positioning metrics: Summary: 1. CTA Corner: - After purchasing $103...

Institutional Insights: Morgan Stanley G10 FX Strategy

G10 FX Strategy | Global A Shift Back to Higher Short USD PositioningKey Takeaways: Options pricing data reveals that investors have increased long positions in EUR and reduced short positions in NZD,...

FX Options Insight 23/05/25

FX Options InsightThe FX options market had not been complacent about potential volatility or further USD weakness, but traders had been reducing premiums ahead of the extended U.S./UK holiday...

Institutional Insights: Credit Agricole FX Weekly 23/05/25

Stagflation hedgesUS President Donald Trump’s inconsistent stance on tariffs heightened FX volatility in Q2, prompting us to further lower our USD forecasts. We have adjusted our EUR/USD projections...

FX Options Insights 22/05/25

FX Options InsightsIn an unpredictable world, the FX options market often offers more information about macro sentiment than spot FX. While spot prices reflect the latest transactions, FX options...

Institutional Insights: Nomura Cross-Asset: LONG-END AND USD BLEEDING EQUITIES JOY

Nomura Cross-Asset: LONG-END AND USD BLEEDING EQUITIES JOYMacroeconomic dysfunction re-emerged as the U.S. equities narrative on the "right side" of the distribution gained momentum, with...

FX Options Insight 21/05/25

FX options serve as a crucial indicator of market sentiment and directional risk due to their forward-looking nature and responsiveness to volatility expectations. Recent market movements have pointed...

Institutional Insights: BofA - Investor Sentiment: Risk-Love

Investor Sentiment: Risk-LoveAs is often the case, the Global Equity Risk-Love Indicator has rebounded sharply from its deep panic levels (9th percentile) observed in early April. This recovery was...