


PipHunter
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0Joined Apr 27, 2015
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There is quite a lot of fundamental data this week. The risk should be to the downside for EURUSD
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Bears need to break and hold through 1.08
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The economic situation in the EZ is not improving, inflation is still weak.
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Stocks rebounding. Probably more up
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It is ok to be long but with caution.
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ps: NZD: if GDT comes in better than expected, look to sell the pair as the fundamental bias is down going into 2015-12-10 RBNZ rate decision. All other relevant info on chart
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