Valentin Marinov, head of G10 FX research at Credit Agricole, speaks about the latest Greek debt negotiations and political risk in Europe.
Alan Ruskin, Deutsche Bank global head of FX strategy, and Peter Ceccini, Cantor Fitzgerald chief market strategist, weigh in on the markets under President Donald Trump's administration and news of a potential takeover bid between Kraft Heinz and Unilever.
Valentin Marinov, head of G10 FX research at Credit Agricole, discusses how to play the major currencies ahead of this year's European elections.
Rabobank Senior FX Strategist Jane Foley talks about what China-U.S. relations will look like under a Trump administration, with added comment on China’s FX reserves.
Rabobank Senior FX Strategist Jane Foley takes a look at the Japanese yen, and how it could perform following Donald Trump’s meeting with Japan’s Prime Minister Shinzo Abe.
Beijing obviously needs to do more to step the tide of capital outflows, says Steve Brice from Standard Chartered Private Bank.
Bitcoin jumped more than 2 percent to its highest since Jan. 4 amid a surge of speculative trading in Chinese exchanges.
UBS Head of European Equity Strategy Nick Nelson takes a look at economic challenges facing China and whether investors are losing excitement for news out of the region.
China’s FX reserves will likely fall to $2.7 to $2.8 trillion by the end of the year, with USD/CNY reaching 7.2, says UBS’ FX strategist Wayne Gordon.
Thanos Vamvakidis, head of European G10 FX strategy at BofA Merrill Lynch, explains how the possibility of a transition agreement between the EU and UK could influence cable.