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From Cogent VPS to Admin RDP: Why Crypto Payments Are Revolutionizeing the Market
From Cogent VPS to Admin RDP: Why Crypto Payments Are Revolutionizeing the Market
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The arise of crypto payments inch digital transactions
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Why Crypto?
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Crypto Payments and the Digital Services Ecosystem
The integration of crypto payments in the VPS and RDP markets is Revolutionizeing how services are accessed and delivered. here’s why:
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Choosing the good vps or rdp provider
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While the benefits of crypto payments are light selecting the good supplier is as important. Look for these Characteristics:
Transparent Pricing: Ensure the provider offers clear pricing with no hidden fees whether you’re paying in fiat or crypto. Customer Support: Reliable support is essential notably for technical services like VPS and RDP. Host Locations: Choose a provider with Hosts in strategic locations to minimize latency and Improve Effectiveness.
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Conclusion
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UK's Manufacturing Excellence: Plan Unveiled
Boosting British Manufacturing Excellence
In a groundbreaking move, Business Secretary Kemi Badenoch has revealed plans to fortify British excellence in advanced manufacturing. Unveiled on November 26, the Advanced Manufacturing Plan (AMP) is set to attract long-term private investment, creating high-paid jobs and positioning the UK as the global hub for manufacturing businesses. A Vision for the Future The AMP, a brainchild of the UK government, is designed to propel the nation to the forefront of manufacturing innovation, targeting key industries such as automotive, aerospace, clean energy, and life sciences. A substantial £4.5 billion commitment has been made to ensure the long-term prosperity of these sectors, with a focus on supporting industries undergoing significant transformations for a seamless transition to a net-zero future.
Key Measures Outlined in the Plan
Outlined in the plan are key measures aimed at improving the business environment and attracting investment. These include faster grid connections, full expensing, and a commitment to fostering apprenticeships. The goal is clear — to leverage the UK's competitive advantage in manufacturing, making it a global leader in zero-emissions technology and creating thousands of high-quality jobs. Building on Recent Successes The AMP builds on recent investment victories, including Nissan's £2 billion investment in Sunderland, Tata's £4 billion gigafactory, BMW's £600 million Electric Mini investment, and Boeing's unlocking of £80 million aerospace manufacturing investment in Sheffield. These successes underscore the government's commitment to job creation, economic growth, and the long-term prosperity of British manufacturing.
A Bold Statement from Business Secretary Kemi Badenoch
Business Secretary Kemi Badenoch emphasized the UK's recent achievement, surpassing France to become the world's eighth-largest manufacturing economy. The AMP, she stated, would build on this success by strategically directing funding to areas where the UK holds a competitive advantage. Badenoch highlighted the industry's desire for a stable, long-term plan that supports cutting-edge technologies and delivers on trade policies, which the AMP aims to fulfill. Prime Minister Rishi Sunak Backs the Plan Prime Minister Rishi Sunak expressed unwavering support for the AMP, affirming the government's commitment to making the UK a world leader in manufacturing. With over 43 percent of all exports and 2.6 million employed in the sector, Sunak sees the plan as a catalyst for long-term industry certainty, job creation, and economic growth.
The Battery Sector's Potential Impact
The plan zeroes in on the battery sector's potential to create 100,000 highly paid and skilled jobs in the UK. Simultaneously, the government has published the UK's inaugural Battery Strategy, outlining a roadmap to attract investments and establish a globally competitive battery supply chain by 2030. Global companies are already choosing the UK, with every pound of government investment leveraging five pounds of additional private sector investment. Expansion of Made Smarter Adoption Program To foster growth in small and medium-sized manufacturing businesses, the government announced the expansion of the Made Smarter Adoption program. This initiative aims to offer support to all English regions by 2025-26, with plans to collaborate with Devolved Administrations for further expansion in 2026-27.
Industry Voices in Support
Industry leaders, including Mike Hawes (SMMT Chief Executive), Kevin Craven (CEO of ADS), Stephen Phipson (CEO of Make UK), and Secretary of State for Science, Innovation, and Technology Michelle Donelan, expressed their support for the AMP. They lauded the plan for its focus on decarbonizing road transport, supporting the aerospace sector, and developing a comprehensive battery strategy. The Plan's Focus on Investing in the Future, Supply Chain Resilience, and Reducing Barriers to Business The AMP outlines a three-pronged approach focusing on investing in the future of UK manufacturing, building supply chain resilience, and reducing costs and barriers to business. Noteworthy initiatives include the establishment of a Hydrogen Taskforce, the UK's Battery Strategy, and measures announced in the Autumn Statement to remove barriers and back businesses.
Government's Commitment to Growth and Innovation
As the UK positions itself for manufacturing excellence, the government remains committed to fostering growth and innovation. Measures such as the Full Expensing scheme, support for the British Industry Supercharger, and the Industrial Energy Transformation Fund underscore the dedication to creating an environment where manufacturing can flourish without bureaucratic hindrances. Voices from Industry Leaders Industry leaders voiced their appreciation for the plan, citing its timely intervention, significance for the aerospace sector, and the much-needed battery strategy. They highlighted the plan's potential to drive investment, and innovation, and secure the future advantage of British industries.
Future Outlook and Investment Opportunities
Looking ahead, the AMP charts a course for the UK to embrace new technological opportunities and position itself as a leader in the global manufacturing landscape. The government's investment in battery R&D, totaling £61 million, demonstrates a commitment to providing the necessary support for manufacturers to thrive and contribute to the nation's economic growth. In conclusion, the Advanced Manufacturing Plan paints a promising picture for the future of British manufacturing. With substantial investments, strategic initiatives, and industry support, the UK aims to not only retain its position as a global manufacturing powerhouse but also lead the way in innovation and sustainability. As the plan unfolds, it lays the groundwork for a future where British manufacturing is synonymous with excellence and forward-thinking solutions. Sources: THX News, Department for Business and Trade, The Rt Hon Kemi Badenoch MP, Nusrat Ghani MP, The Rt Hon Rishi Sunak MP, & The Rt Hon Michelle Donelan MP. Read the full article
#AdvancedManufacturingPlan#BritishIndustrySupercharger#BusinessSecretaryKemiBadenoch#FullExpensingScheme#GlobalInvestmentSummit#HydrogenPropulsionSystems#IndustryGrowthInitiatives#ManufacturingInvestment#UKBatteryStrategy#UKManufacturingExcellence
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The Ultimate Guide to Crypto Day Trading Cryptocurrency has taken the financial world by storm. With its rapid growth and potential for high returns, it’s no wonder many individuals want to get involved in the crypto market. One popular method of profiting from cryptocurrencies is day trading. This comprehensive guide will explore everything you need to know about day trading in the crypto market, including strategies, tips, and best practices. Also read: UK Crime Bill to Allow Freezing Crypto Assets Faster Cryptoslate.com What is Day Trading in the Crypto Market? Day trading refers to buying and selling financial instruments, such as cryptocurrencies, within a single trading day. The goal of day trading is to take advantage of short-term price fluctuations to make a profit. Traders typically enter and exit positions on the same day, avoiding the risks of holding assets overnight. Getting Started with Crypto Day Trading Before diving into day trading, you need to take a few essential steps to get started. Let’s walk through the process: Source: Crypto News 1. Choose a Reliable Crypto Exchange To begin day trading cryptocurrencies, you’ll need to choose a reputable and secure crypto exchange. Ensure the exchange offers a wide range of cryptocurrencies, competitive trading fees, and robust security measures. Some popular crypto exchanges include Coinbase, Kraken, and Binance. 2. Create an Account and Verify Your Identity Once you’ve selected an exchange, create an account and complete the necessary identity verification process. This step is crucial to complying with regulatory requirements and ensuring the security of your funds. 3. Deposit Funds into Your Account After verifying your identity, deposit funds into your exchange account. You can typically fund your account with fiat currency, such as USD EUR, or other cryptocurrencies. 4. Select the cryptocurrency to Trade Next, choose the cryptocurrencies you want to trade. Conduct thorough research and analysis to identify cryptocurrencies with strong potential for short-term price movements. Consider factors such as market trends, news events, and technical indicators. 5. Develop a Trading Strategy A well-defined trading strategy is essential for successful day trading. Consider various factors, such as your risk tolerance, preferred trading style, and market conditions, when developing your strategy. Some popular day trading strategies include high-frequency trading (HFT), scalping, range trading, and technical analysis. 6. Monitor the Market Once you have a trading strategy in place, closely monitor the crypto market throughout the trading day. Stay updated on price movements, news events, and market sentiment that may impact your chosen cryptocurrencies. Utilize trading tools and charts to assess the market trends and make informed trading decisions. Also read: Is AMP Crypto a Good Investment? 7. Execute Trades When the market conditions align with your trading strategy, execute your trades. Place buy and sell orders based on your analysis and desired entry and exit points. Be mindful of trading fees and always consider the potential risks and rewards before executing a trade. 8. Manage Risks and Take Profits Effective risk management is crucial in day trading. Set stop-loss orders to limit potential losses and take-profit orders to secure profits. Stick to your predetermined risk-reward ratio and avoid emotional decision-making during trading. Bitcoin cryptocurrencies and graph statistic background Crypto Day Trading Strategies You can employ several strategies when day trading in the crypto market. Each strategy has its advantages and considerations. Let’s explore some popular crypto day trading strategies: 1. High-Frequency Trading (HFT) High-frequency trading is a strategy that relies on the use of advanced algorithms and trading bots to execute a large number of trades within seconds or fractions of a second. HFT takes advantage of small price discrepancies and short-term market inefficiencies.
This strategy requires technical expertise and access to sophisticated trading tools. 2. Scalping Scalping is a strategy that aims to profit from small price changes quickly. Scalpers enter and exit trades quickly, taking advantage of small price movements. This strategy requires active monitoring of the market and the ability to execute trades swiftly. Scalping is best suited for experienced traders who can handle the fast-paced nature of this strategy. 3. Range Trading Range trading involves identifying price ranges in which a cryptocurrency trades and taking positions based on the expectation that the price will remain within that range. Traders enter buy positions when the price is near the lower bound of the range and sell positions when the price is near the upper bound. Range trading requires patience and identifying stable high and low prices. 4. Technical Analysis Technical analysis involves analyzing historical price data, charts, and trading indicators to predict future price movements. Traders use various technical indicators, such as moving averages, trend lines, and oscillators, to identify patterns and trends in the market. Technical analysis can help traders make informed decisions about entry and exit points. 5. News and Sentiment Analysis News and sentiment analysis focuses on understanding market sentiment and the impact of news events on cryptocurrency prices. Traders monitor news sources, social media platforms, and market sentiment indicators to gauge the overall sentiment toward a particular cryptocurrency. This strategy requires staying updated on news events and understanding their potential impact on the market. Best Practices for Successful Crypto Day Trading To increase your chances of success in crypto day trading, consider the following best practices: 1. Educate Yourself Before diving into day trading, educate yourself about cryptocurrencies, trading strategies, technical analysis, and risk management. Stay updated on market trends, news events, and regulatory developments. Continuous learning is key to improving your trading skills and making informed decisions. 2. Start with a Demo Account If you’re new to day trading or want to test out a new strategy, consider starting with a demo account offered by many crypto exchanges. A demo account allows you to practice trading without risking real money, helping you familiarize yourself with the trading platform and refine your strategy. 3. Start Small and Manage Risk When starting, it’s crucial to start with a small trading capital you can afford to lose. As you gain experience and confidence, you can gradually increase your trading capital. Always set stop-loss orders to limit potential losses and stick to your risk management plan. 4. Use Trading Tools and Indicators Take advantage of trading tools and indicators offered by crypto exchanges and third-party platforms. These tools can help you analyze market trends, identify entry and exit points, and manage your trades effectively. Popular tools include candlestick charts, moving averages, and oscillators. 5. Keep Emotions in Check Emotions can cloud your judgment and lead to impulsive trading decisions. Develop a disciplined approach to trading and stick to your trading plan. Avoid chasing losses or making trades based on fear or greed. Stay focused and objective when analyzing the market and executing trades. 6. Practice Patience and Discipline Successful day trading requires patience and discipline. Not every trade will be profitable, and the market will have ups and downs. Stick to your trading strategy and avoid making impulsive decisions based on short-term market fluctuations. Stay disciplined and stick to your trading plan. Conclusion Crypto-day trading can be profitable for those who approach it with the right mindset, knowledge, and strategy. By following best practices, staying informed, and continuously improving your trading skills, you can increase your chances of success in the fast-paced world of crypto day trading.
Remember to start small, manage risks, and always stay disciplined. Happy trading! Note: The information provided in this article is for educational purposes only and should not be considered financial or investment advice. Always conduct your research and consult a professional financial advisor before making investment decisions.
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Movers and Shakers | Sonal Bhaskaran | Sonal Bhaskaran London
Movers and Shakers | Sonal Bhaskaran | Sonal Bhaskaran London #jewellery
Sonal Bhaskaran is the founder of Sonal Bhaskaran London, a small independent label making statement jewellery with Eastern spirit. Since launching the business two years ago, her work has been regularly featured in media including Harper’s Bazaar, Elle, Vogue, Grazia, Instyle, Glamour amongst others and worn by Rita Ora, Mel B, Laura Whitmore, Alexandra Burke and PIxie Lott. http://www.sonalb…
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Freight Management System Market Research Report - Global Forecast till 2025
Freight Management System Market Research Report - Global Forecast till 2025
Market Snapshot
Freight management systems are used by third-party logistics providers, forwarders, brokers, shippers, and carriers. Companies use these systems for streamlining supply chain operations and increasing the efficiency of the shipping process and maintaining security. With the help of software technology, these companies can save on time and cost due to the full visibility offered by a freight management systems. The system allows these companies to book orders, find the best carrier rates, search all transportation modes, manage carriers’ negotiated rates, request and receive spot quotes and track shipments in real time. Today there is a number of freight management systems available in the market that can be deployed on-premise or on the cloud. The main factors which are driving the market are the growing global trade, the need to control the time-in-transit, and the growing need for supply chain visibility. Also, the adoption of technologies such as cloud computing and big data analytics integrated into the system by vendors is expected to witness a number of market opportunities. Green freight improves the real-world energy efficiency and environmental performance of freight systems which is expected to encourage vendors to invest in this opportunity. However, the congested trade routes can act as a restraining factor for this market.
Vendors operating in this market offer software and services for freight management system management. For instance, Kuebix TMS developed software that can also be deployed on the cloud. Similarly, Descartes Systems Group Inc. has developed a freight management system that can be easily integrated with other transportation management software. The software offered by the company is scalable and can be deployed over the cloud.
The Global Freight Management System Market is expected to expand at a 9.4% CAGR during the forecast period, to reach USD 18.63 Billion by 2025.
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Key Developments
In February 2019, Descartes Systems Group completed its acquisition of Management Systems Resources. The acquisition will enhance Descartes’s offerings including freight management systems and transportation management systems. In February 2018, Descartes acquired Aljex, a cloud-based logistics provider, to provide Aljex’s back-office transportation management solutions to freight brokers and transportation providers.
In November 2018, E2open completed the acquisition of INTTRA, an ocean shipping network, software and information provider. This acquisition will combine the offerings of INTTRA- ocean shipping logistics with the global supply chain and logistics network of E2open.
Regional Analysis
· Geographically, the global freight management system market has been segmented into Asia-Pacific, North America, Europe, the Middle East & Africa, and South America.
· North America leads the market in terms of market share in the freight management system market. Some of the factors that are responsible for the growth of the market include continuous investment and focus on freight automation. The presence of a number of software providers in the market such as Mcleod Software, Freightview, Freight Management, Linbis, Logisuite, JDA Software, Descartes, Oracle Corporation, Werner Enterprises, and MercuryGate is another factor that has contributed a significant share in North America freight management system market.
· Europe has occupied the second position in the market. For the purpose of this study, Europe has been segmented into the UK, Germany, France, and the rest of Europe. According to MRFR analysis, the UK is expected to gain the highest market share, followed by Germany and France. The freight management system market in this region is expected to grow due to the rapidly increasing global trade and the need to control the time-in-transit.
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HUGE!! Crypto Mining Company Lists ON LONDON STOCK EXCHANGE! ARGO BLOCKCHAIN
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Argo Blockchain is the latest cryptocurrency company to be listed on a major stock exchange. The company mines Bitcon and Zcash cryptocurrency at three mining facilities in North America and is in the process of opening a fourth cryptocurrency mining facility in Texas. Argo blockchain gives investors of indirectly gaining exposure to the cryptocurrency market without having to purchase cryptocurrency mining equipment themselves. #crypto #arb #cryptonews
Timestamps: 00:00 Intro 04:46 Argo Mining Operations 07:27 Green Bitcoin Mining 09:07 Business Operations 13:24 Summary
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Disclaimer: The information discussed by Altcoin Buzz is not financial advice. This is for educational and informational purposes only. Any information or strategies are thoughts and opinions relevant to accepted levels of risk tolerance of the content creators/reviewers and their risk tolerance may be different than yours. Altcoin Buzz is not responsible for any losses that you may incur as a result of any investments directly or indirectly related to the information provided. Please do your own due diligence and rating before making any investments and consult your financial advisor. The information presented we believe to be correct and accurate however there is no guarantee or warranty as to the accuracy, timeliness, completeness. Bitcoin and other cryptocurrencies are high-risk investments so please do your due diligence. Copyright Altcoin Buzz Pte Ltd. All rights reserved.
References
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https://www.blockchain.com/charts/hash-rate https://www.fool.com/investing/2021/02/08/should-you-buy-bitcoin-or-just-mine-it-its-complic/ https://www.lseg.com/ https://finance.yahoo.com/news/argo-blockchain-installs-4-500-105024124.html https://www.financemagnates.com/cryptocurrency/news/argo-blockchain-ceo-starts-receiving-salary-in-bitcoin/amp/ https://polaris.brighterir.com/public/argo_blockchain/news/rns/story/xq6k1lr https://finance.yahoo.com/news/cryptocurrency-mining-company-argo-blockchain-110000048.html https://www.marketwatch.com/investing/Stock/ARB?countrycode=UK https://finance.yahoo.com/news/argo-blockchain-dmg-launch-worlds-212800224.html https://www.coindesk.com/argo-blockchain-completes-land-purchase-for-texas-crypto-mining-facility
The post HUGE!! Crypto Mining Company Lists ON LONDON STOCK EXCHANGE! ARGO BLOCKCHAIN appeared first on BLOCKPATHS.
source https://blockpaths.com/commentaries/huge-crypto-mining-company-lists-on-london-stock-exchange-argo-blockchain/
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Massive Growth of Bentonite, Fullers Earth & Allied Clays Market by 2027 | Minerals Technologies(Amcol), Bentonite Performance Minerals LLC (BPM), Wyo-Ben Inc, Black Hills Bentonite, Tolsa Group, Imerys (S&B), Clariant
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Reporthive.com Investigate presents an up-to-date study on “Bentonite, Fullers Earth & Allied Clays market sales revenue for 2021, key player analysis, state of development, opportunity assessment, and forecast to 2027“. The report contains market forecasts related to future global estimates, share, business forecast, current manufacturers scenario, competitive landscape and forecast (2021-2027) and other material factors. With in-depth analysis and insight into the developments affecting the business, this report included detailed information on businesses on the global and regional levels. The data examined was conducted taking into account the current top players and the next competitors. The Bentonite, Fullers Earth & Allied Clays Industry Worldwide Report is an exceptional report that enables the industry to make strategic decisions and achieve growth goals. The analysis in this report has been used to examine the various reliable sectors for the fastest development based on the estimated forecasting framework.
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Thinking is a step forward In today’s competitive world, you need to think a step ahead to chase your competitors, as our research provides reviews on key players, important collaborations, unions, and acquisitions along with innovation trends and trade policies to provide a better understanding of driving business forward. Right direction. The Bentonite, Fullers Earth & Allied Clays Market Report is a veritable source of access to research data that is expected to significantly grow your business. The report provides information such as economic scenarios, earnings, limits, trends, market growth rates, and numbers. A SWOT analysis of the Bentonite, Fullers Earth & Allied Clayss market and a Porters Five analysis are also incorporated into the report. Staying informed of market trends and drivers is crucial for decision makers to take advantage of this emerging opportunity. The study provides information on trends and development in the Bentonite, Fullers Earth & Allied Clays market, drivers, capabilities, technologies, and the changing investment structure of the market. The following companies are major contributors to the Bentonite, Fullers Earth & Allied Clayss Market Research Report: Minerals Technologies(Amcol), Bentonite Performance Minerals LLC (BPM), Wyo-Ben Inc, Black Hills Bentonite, Tolsa Group, Imerys (S&B), Clariant, Bentonite Company LLC (Russia), Laviosa Minerals SpA, LKAB Minerals, Star Bentonite Group, Kunimine Industries, Huawei Bentonite, Fenghong New Material, Chang'an Renheng, Liufangzi Bentonite, Bentonit Uni£o, Castiglioni Pes y Cia, Canbensan, Aydın Bentonit, KarBen, G & W Mineral Resources, Ningcheng Tianyu How will this report benefit potential stakeholders? It provides figurative estimates for 2021 based on recent developments and historical data [2015-2020]. To collect information and estimate revenue for all sectors, the researchers used top-down and bottom-up approaches. On the basis of data gathered from primary and secondary research and reliable data sources, the report will help both new and current aspirants in the Bentonite, Fullers Earth & Allied Clays market to discover and study market needs, market size and competition.
NB: We can also provide a market report in regional language, German / French / Japanese. We have investigated the COVID-19 situation thoroughly and the new sample has been updated to reflect the impact of COVID-19 on industry trends.
Partition Type: ☑ Bentonite, Kaolin, Fuller's earth, Other clay Segmentation of industrial applications: ☑ Paper industry, Paint industry, Plastics industry, Flooring and ceramics, Miscellaneous Geographical analysis The market research report for Bentonite, Fullers Earth & Allied Clays provides a detailed analysis of the various regions and also contains a detailed analysis of the country. Besides the market revenues, the market value report also provides the forecast analysis for countries and regions. The report covers different geographic regions such as North America (USA and Canada), Asia Pacific (China, Japan and India), Europe (UK, Germany, France), Latin America (Mexico and Brazil), the Middle East and Africa. (Gulf Cooperation Council countries and South Africa). The report sheds light on various aspects of the Bentonite, Fullers Earth & Allied Clayss market and answers related questions about the Bentonite, Fullers Earth & Allied Clayss market: • What are the best investment opportunities to introduce new products and provide advanced services in the Bentonite, Fullers Earth & Allied Clayss market? • What customer or related market value propositions should the company focus on when launching new research or mutual funds in the Bentonite, Fullers Earth & Allied Clayss market? • What policy changes will help stakeholders enhance the supply chain and demand network? • Which areas will need more products and services in specific sectors during the forecast period? • What strategies have helped established players reduce supplier, procurement and logistics costs? • Will you use the prospect of using C-Suite to lead companies on a new growth path? • What government measures stimulate the Bentonite, Fullers Earth & Allied Clays market or what government regulations might call into question the state of the regional and global industry in the Bentonite, Fullers Earth & Allied Clays market? • How will the political and economic crisis affect opportunities in the growth areas of personal cosmetic personal care products?
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TOC Highlights: Chapter 1. Introduction: The Bentonite, Fullers Earth & Allied Clays research work report covers a concise introduction to the global market. This segment provides assessments of key participants, a review of Bentonite, Fullers Earth & Allied Clays industry, outlook across key areas, financial services, and various difficulties faced by Bentonite, Fullers Earth & Allied Clays Market. This section depends on the Scope of the Study and Report Guidance. Chapter 2. Outstanding Report Scope: This is the second most significant chapter, which covers market segmentation along with a definition of Bentonite, Fullers Earth & Allied Clays. It characterizes the whole scope of the Bentonite, Fullers Earth & Allied Clays report and the various features it is describing. Chapter 3. Market Dynamics and Key Indicators: This chapter incorporates key elements focusing on drivers [Includes Globally Growing Bentonite, Fullers Earth & Allied Clays frequency and Increasing Investments in Bentonite, Fullers Earth & Allied Clays], Key Market Restraints[High Cost of Bentonite, Fullers Earth & Allied Clays], opportunities [Arising Markets in Developing Countries] and introduced in detail the arising trends [Consistent Innovate of New Screening Products] development difficulties, and influence factors shared in this latest report. Chapter 4. Type Segments: This Bentonite, Fullers Earth & Allied Clays market report shows the market development for different kinds of products showcased by the most far-reaching organizations. Chapter 5. Application Segments: The analysts who composed the report have completely assessed the market capability of key applications and perceived future freedoms. Chapter 6. Geographic Analysis : Each provincial market is deliberately examined to understand its current and future development, improvement, and request situations for this market. Chapter 7. Impact of COVID-19 Pandemic on Global Bentonite, Fullers Earth & Allied Clays Market: 7.1 North America: Insight On COVID-19 Impact Study 2021-2026 7.2 Europe: Serves Complete Insight On COVID-19 Impact Study 2021-2026 7.3 Asia-Pacific: Potential Impact of COVID-19 (2021-2026) 7.4 Rest of the World: Impact Assessment of COVID-19 Pandemic Chapter 8. Manufacturing Profiles: The significant players in the Bentonite, Fullers Earth & Allied Clays market are definite in the report based on their market size, market served, products, applications, regional development, and other variables. Chapter 9. Estimating Analysis: This chapter gives price point analysis by region and different forecasts. Chapter 10. North America Bentonite, Fullers Earth & Allied Clays Market Analysis: This chapter includes an appraisal on Bentonite, Fullers Earth & Allied Clays product sales across major countries of the United States and Canada along with a detailed segmental viewpoint across these countries for the forecasted period 2021-2026. Chapter 11. Latin America Bentonite, Fullers Earth & Allied Clays Market Analysis: Significant countries of Brazil, Chile, Peru, Argentina, and Mexico are assessed apropos to the appropriation of Bentonite, Fullers Earth & Allied Clays. Chapter 12. Europe Bentonite, Fullers Earth & Allied Clays Market Analysis: Market Analysis of Bentonite, Fullers Earth & Allied Clays report remembers insights on supply-demand and sales revenue of Bentonite, Fullers Earth & Allied Clays across Germany, France, United Kingdom, Spain, BENELUX, Nordic, and Italy. Chapter 13. Asia Pacific Excluding Japan (APEJ) Bentonite, Fullers Earth & Allied Clays Market Analysis: Countries of Greater China, ASEAN, India, and Australia & New Zealand are assessed, and sales evaluation of Bentonite, Fullers Earth & Allied Clays in these countries is covered. Chapter 14. Middle East and Africa (MEA) Bentonite, Fullers Earth & Allied Clays Market Analysis: This chapter centers around Bentonite, Fullers Earth & Allied Clays market scenario across GCC countries, Israel, South Africa, and Turkey. Chapter 15. Research Methodology The research procedure chapter includes the accompanying primary realities, 15.1 Coverage 15.2 Secondary Research 15.3 Primary Research Chapter 16. Conclusion
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Freight Management System Market Research Report - Global Forecast till 2025
Freight Management System Market Research Report - Global Forecast till 2025
Market Snapshot
Freight management systems are used by third-party logistics providers, forwarders, brokers, shippers, and carriers. Companies use these systems for streamlining supply chain operations and increasing the efficiency of the shipping process and maintaining security. With the help of software technology, these companies can save on time and cost due to the full visibility offered by a freight management systems. The system allows these companies to book orders, find the best carrier rates, search all transportation modes, manage carriers’ negotiated rates, request and receive spot quotes and track shipments in real time. Today there is a number of freight management systems available in the market that can be deployed on-premise or on the cloud. The main factors which are driving the market are the growing global trade, the need to control the time-in-transit, and the growing need for supply chain visibility. Also, the adoption of technologies such as cloud computing and big data analytics integrated into the system by vendors is expected to witness a number of market opportunities. Green freight improves the real-world energy efficiency and environmental performance of freight systems which is expected to encourage vendors to invest in this opportunity. However, the congested trade routes can act as a restraining factor for this market.
Vendors operating in this market offer software and services for freight management system management. For instance, Kuebix TMS developed software that can also be deployed on the cloud. Similarly, Descartes Systems Group Inc. has developed a freight management system that can be easily integrated with other transportation management software. The software offered by the company is scalable and can be deployed over the cloud.
The Global Freight Management System Market is expected to expand at a 9.4% CAGR during the forecast period, to reach USD 18.63 Billion by 2025.
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Key Developments
In February 2019, Descartes Systems Group completed its acquisition of Management Systems Resources. The acquisition will enhance Descartes’s offerings including freight management systems and transportation management systems. In February 2018, Descartes acquired Aljex, a cloud-based logistics provider, to provide Aljex’s back-office transportation management solutions to freight brokers and transportation providers.
In November 2018, E2open completed the acquisition of INTTRA, an ocean shipping network, software and information provider. This acquisition will combine the offerings of INTTRA- ocean shipping logistics with the global supply chain and logistics network of E2open.
Regional Analysis
· Geographically, the global freight management system market has been segmented into Asia-Pacific, North America, Europe, the Middle East & Africa, and South America.
· North America leads the market in terms of market share in the freight management system market. Some of the factors that are responsible for the growth of the market include continuous investment and focus on freight automation. The presence of a number of software providers in the market such as Mcleod Software, Freightview, Freight Management, Linbis, Logisuite, JDA Software, Descartes, Oracle Corporation, Werner Enterprises, and MercuryGate is another factor that has contributed a significant share in North America freight management system market.
· Europe has occupied the second position in the market. For the purpose of this study, Europe has been segmented into the UK, Germany, France, and the rest of Europe. According to MRFR analysis, the UK is expected to gain the highest market share, followed by Germany and France. The freight management system market in this region is expected to grow due to the rapidly increasing global trade and the need to control the time-in-transit.
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Ben Ful Links - February 15/2021
Ben Ful Links - February 15/2021:
As a part of this offensive, the U.S. and Japanese military are ready to respond because the recent attack on their forces near Mt. Fuji (fire at base of mountain on left side) has been traced to that city. This is in part because Kiyosu Takayama, a self-declared Knight’s Templar, has been traced as the source of disinformation about the February 3rdattack. He claims that in the attack the “U.S. Navy destroyed the world’s largest adrenochrome factory.” https://blog.goo.ne.jp/mokushiroku666/e/d9ea9ad13066e7c7077c58932514feff
Russian FSB sources for their part directed our attention to the following video showing then U.S. Secretary of State Mike Pompeo standing in front of a model of the Third Temple to be built in Jerusalem that does not contain the Al Aqsa Mosque. (minute 1:01): https://twitter.com/SecPompeo/status/1109083029430067200?ref_src=twsrc%5Etfw
The sources also say the link below shows a “photo of the Super Intellect Logos, in the underground Synagogue 3 Temple in Jerusalem. Super Intellect is a golden shell was dug up in Karabakh.” https://sputniknews.com/world/201903231073479183-mike-pompeo-jerusalem-third-templemodel/
significant economic event is a security challenge. If you look at the Thirties, that started as a very significant economic crash and that acted as a very destabilizing feature.” https://www.telegraph.co.uk/news/2021/02/12/general-sir-nick-carter-interview-joining-fightagainst-covid/
The UK is not alone. On February 12th Russian Foreign Minister Sergei Lavrov said Russia is ready to sever ties with the EU if the bloc imposes new, economically painful sanctions. Again in diplomatic speak severing relations is one step behind a formal declaration of war. https://www.bbc.com/news/world-europe-56039075
The attack on Japan was also linked to the fact the Japanese government refused to sell itself to unnamed “private interests,” as can be seen on page 30 of Japan’s annual report submitted to the U.S. Securities and Exchange Commission on August 6th, 2020. https://sec.report/Document/0001193125-20-211213/
The report notes that in 2015, the Japanese Parliament passed an act allowing the Japanese government to maintain a veto-wielding “in excess of one third” share in the Development Bank of Japan. Furthermore, it states it will control “one half or more for DBJ’s special investment operations.” https://sec.report/Document/0001193125-20-211213/
Since this bank basically owns Japan financially, it means former Prime Minister Shinzo Abe, for all his faults, refused to hand over control to the Khazarian mafia and their proxies like KKR Japan. By the way, we noted the United States Corporation has vanished from the SEC listings and has been replaced by the “United States Corp Co” with an SEC CIK#000101575. The SEC noted, the “United States Corp Co has not filed any forms with the SEC apart from initial company registration.” https://sec.report/CIK/0000101575
We did not have the time to deep dive further but did note that entities such as the People’s Republic of China and the Government of Mexico are also
registered with the SEC. PRC: https://sec.report/CIK/0000909321
The Mexico corporation: https://sec.report/CIK/0000101368
Also interestingly enough we found a registration for the planet Earth under Earth Co. and that “Security and Exchange Commission registration information for Earth Co. Documents include ownership statements, and insider trading documentation,” and that “Earth Co. has not filed any forms with the SEC apart from initial company registration.” Our own sources tell us it is the Rothschild family who claims ownership of the Planet Earth. https://sec.report/CIK/0000030977
Now let us take a bit of a deep dive at the sort of thing the self-appointed “owners” of Planet Earth are doing. The biggest business seems to be mass mind control. Take a look at this picture: https://img.ifunny.co/images/2951e201badcc0f814d23517f80556aef77790c1c1ea3ae2cdeebac4fa5 594ea_1.jpg
They were also forced to end the farce after being caught using fake evidence. https://theweek.com/articles/966168/most-important-person-impeachment-trial-missing-isnttrump https://www.zerohedge.com/political/democrats-caught-using-fake-evidence-impeachment-trial
“I think that the American people, like I said, I think they’re just absolutely tired of everything that they’ve seen in our political establishment,” General Mike Flynn said in an interview with the Western Journal. https://www.westernjournal.com/bombshell-twj-exclusive-hour-long-featureinterview-gen-flynn/
We note that Flynn’s brother, Army Lt. Gen. Charles Flynn, was assigned late last month to be the commander of the U.S. Army Pacific forces. Hopefully, he will work with the Russians, British, Japanese, Taiwanese, etc. who want to finish off Khazarian Mafia rule once and for all. https://www.westernjournal.com/general-michael-flynns-brother-command-us-army-pacific-forces/
In any case, the Khazarian Mafia is beginning to totally lose control of its “Covid-19” justification to vaccinate everybody into permanent slavery with gene-altering CRISPR technology. As proof of this, Pfizer has abandoned India rather than submit to safety tests for its vaccines. Pfizer executives are being actively hunted down and killed and will soon be an extinct species, WDS sources promise. https://www.rumormillnews.com/cgi-bin/forum.cgi?read=165947
Furthermore, riots and demonstrations against the Covid-19 fascism are breaking out all over the world. For example, take a look at this unmasked crowd telling police to choose sides. https://www.youtube.com/watch?v=h8FBZU4Cjjs&feature=youtu.be
A general revolt is also underway in Israel, the most brainwashed nation on Earth. https://www.debka.com/half-measures-in-israels-coronavirus-battle-cause-confusion-defiance/
In any case, the Covid-19 campaign is now being unwound and will be over by May, Russia’s FSB insists. https://www.veteranstoday.com/2021/02/10/sars-2-lies-ties-among-us-china-scientists-ingates-shade-disclosed-by-daily-mail-and-die-welt/
The Khazarian Mafia will go down tooth and nail and appears to be carrying out multiple acts of sabotage such as destroying a German power plant and trying to poison Florida’s water supply. https://www.euroweeklynews.com/2021/02/09/germany-state-of-emergency-declared-innuremberg-after-major-power-plant-fire/amp/
They also apparently used a space-based weapon to destroy 500 gas-transporting tankers on the Iran/Afghan border. https://www.theguardian.com/world/2021/feb/13/huge-blaze-on-afghanistaniran-border-spotted-from-space
The sudden polar vortex hitting Texas is also a space-based attack, U.S. Space Force sources say. That is why, as one trader memorably told Zero Hedge about the gas market: “We’ve officially hit ‘Holy fu*king $hit levels’ here.” https://www.zerohedge.com/energy/energy-emergency-texaspower-provider-warns–rotating-outages-cold-weather-tests-limits-grid
It is no wonder an increased number of observers note the U.S. establishment has gone “crazy.” https://www.rt.com/op-ed/515385-american-establishment-trump-insane/
On a final note, we wish to point out a couple of growing hints at some sort of imminent disclosure event. One is the massive earthquakes prompting Antarctic base evacuations. https://sputniknews.com/latam/202101241081861137-chile-issues-tsunami-warning-ordersevacuation-of-antarctic-base-after-7-magnitude-quake/ https://www.news18.com/news/world/tsunami-warning-for-new-zealand-other-nations-after-7-7- magnitude-earthquake-rocks-south-pacific-3416810.html
The other is disclosures by the Pentagon that they are testing materials taken from crashed UFOs. https://www.the-sun.com/news/2321251/pentagon-admits-testing-wreckage-ufo-crashes/
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China grants five foreign investors licenses in April
SHANGHAI, Could 9 (Reuters) - The China Securities Regulatory Fee (CSRC) granted licenses to 5 overseas establishments in April, permitting them to purchase Chinese language shares and bonds beneath the Certified Overseas Institutional Investor (QFII) scheme. The licenses have been awarded to Prescient Funding Administration, Dongbu Asset Administration Co, Janus Capital Administration LLC, Mizuho Asset Administration Co and Henderson World Buyers Ltd, the CSRC stated on its web site. China has been stepping up efforts to increase the QFII program, which it launched in 2003 to enable overseas traders to purchase Chinese language securities, as a part of a broader reform of the nation's monetary markets. It lately raised the whole most QFII quota by $50 billion to $80 billion, and has vowed to hurry up approval procedures. China has to date granted QFII licenses to 163 overseas traders and 129 of them had obtained mixed quotas of $25.19 billion from the nation's overseas trade regulator as of April 16. (* denotes modifications) No. QFII Identify Obtained QFII Standing Quota 1 UBS AG 5/23/2003 790 2 Nomura Securities Co.,Ltd. 5/23/2003 350 3 Morgan Stanley & Co. Worldwide Restricted 6/5/2003 400 4 Citigroup World Markets Restricted 6/5/2003 550 5 Goldman, Sachs & Co. 7/4/2003 300 6 Deutsche Financial institution Aktiengesellschaft 7/30/2003 400 7 The Hong Kong and Shanghai Banking Company 8/4/2003 400 Restricted 8 ING Financial institution N.V. 9/10/2003 400 9 JPMorgan Chase Financial institution, Nationwide Affiliation 9/30/2003 150 10 Credit score Suisse (Hong Kong) Restricted 10/24/2003 500 11 Commonplace Chartered Financial institution (Hong Kong) Restricted 12/11/2003 75 12 Nikko Asset Administration Co.,Ltd. 12/11/2003 450 13 Merrill Lynch Worldwide 4/30/2004 300 14 Grasp Seng Financial institution Restricted 5/10/2004 100 15 Daiwa Securities Capital Markets Co.,Ltd. 5/10/2004 50 16 Lehman Brothers Worldwide (Europe) 7/6/2004 200 17 Invoice & Melinda Gates Basis 7/19/2004 300 18 INVESCO Asset Administration Restricted 8/4/2004 350 19 The Royal Financial institution of Scotland N.V. 9/2/2004 175 20 Société Générale 9/2/2004 50 21 Barclays Financial institution PLC 9/15/2004 400 22 Commerzbank AG 9/27/2004 75 23 Fortis Financial institution NV-SA 9/29/2004 500 24 BNP Paribas 9/29/2004 200 25 Energy Company of Canada 10/15/2004 50 26 Credit score Agricole Company and Funding Financial institution 10/15/2004 75 27 Goldman Sachs Asset Administration Worldwide 5/9/2005 500 28 Martin Currie Funding Administration Ltd 10/25/2005 120 29 Authorities of Singapore Funding Company 10/25/2005 400 Pte Ltd 30 PineBridge Funding LLC 11/14/2005 150 31 Temasek Fullerton Alpha Investments Pte Ltd 11/15/2005 300 32 JF Asset Administration Restricted 12/28/2005 375 33 The Dai-ichi Life Insurance coverage FirmRestricted 12/28/2005 200 34 DBS Financial institution Ltd 2/13/2006 100 35 AMP Capital Buyers Restricted 4/10/2006 300 36 The Financial institution of Nova Scotia 4/10/2006 150 37 KBC Monetary Merchandise UK Restricted 4/10/2006 20 38 La Compagnie Financiere Edmond de Rothschild 4/10/2006 200 Banque 39 Yale College 4/14/2006 150 40 Morgan Stanley Funding Administration Inc. 7/7/2006 450 41 Prudential Asset Administration (Hongkong) Restricted 7/7/2006 300 42 Stanford College 8/5/2006 100 43 GE Asset Administration Included 8/5/2006 300 44 United Abroad Financial institution Restricted 8/5/2006 50 45 Schroder Funding Administration Restricted 8/29/2006 300 46 HSBC World Asset Administration (Hong Kong) Restricted 9/5/2006 450 47 Mizuho Securities Co.,Ltd 9/5/2006 50 48 UBS World Asset Administration (Singapore) Ltd 9/25/2006 250 49 Sumitomo Mitsui Asset Administration Firm, 9/25/2006 350 Restricted 50 Norges Financial institution 10/24/2006 700 51 Pictet Asset Administration Restricted 10/25/2006 100 52 The Trustees of Columbia College within the Metropolis 3/12/2008 100 of New York 53 Prudential Asset Administration Co.,Ltd. 4/7/2008 0 54 Robeco Institutional Asset administration B.V. 5/5/2008 150 55 State Avenue World Advisors Asia Restricted 5/16/2008 50 56 Platinum Funding Firm Restricted 6/2/2008 150 57 KBC Asset Administration N.V. 6/2/2008 210 58 Mirae Asset World Investments Co., Ltd. 7/25/2008 250 59 ACE INA Worldwide Holdings, Ltd. 8/5/2008 150 60 Caisse de dépt et placement du Québec 8/22/2008 200 61 President and Fellows of Harvard Faculty 8/22/2008 200 62 Samsung Funding Belief Administration Co., Ltd. 8/25/2008 300 63 AllianceBernstein Restricted 8/28/2008 150 64 Oversea-Chinese language Banking Company Restricted 8/28/2008 150 65 First State Funding Administration (UK) Restricted 9/11/2008 120 66 DAIWA Asset Administration Co. 9/11/2008 200 67 Shell Asset Administration Firm B.V. 9/12/2008 0 68 T. Rowe Value Worldwide, Inc. 9/12/2008 110 69 Credit score Suisse AG 10/14/2008 300 70 UOB Asset Administration Ltd 11/28/2008 50 71 ABU Dhabi Funding Authority 12/3/2008 200 72 Allianz World Buyers Luxembourg S.A. 12/16/2008 100 73 Capital Worldwide, Inc. 12/18/2008 100 74 Mitsubishi UFJ Morgan Stanley Securities Co., 12/29/2008 100 Ltd. 75 Hanwha Funding Belief Administration Co., Ltd. 2/5/2009 138 76 Rising Markets Administration, L.L.C. 2/10/2009 50 77 DWS Funding S.A. 2/24/2009 200 78 The Korea Growth Financial institution 4/23/2009 100 79 Woori Financial institution Co., Ltd 5/4/2009 50 80 Financial institution Negara Malaysia 5/19/2009 200 81 Lloyd George Administration (Hong Kong) Restricted 5/27/2009 50 82 Templeton Funding Counsel, LLC 6/5/2009 200 83 BEA Union Funding Administration Restricted 6/18/2009 100 84 The Sumitomo Belief & Banking Co., Ltd. 6/26/2009 50 85 Korea Funding Belief Administration Co., Ltd 7/21/2009 100 86 Baring Asset Administration Restricted 8/6/2009 200 87 Ashmore Funding Administration Restricted 9/14/2009 200 88 BNY Mellon Asset Administration Worldwide 11/6/2009 150 Restricted 89 Manulife Asset Administration (Hong Kong) Restricted 11/20/2009 200 90 Nomura Asset Administration CO., LTD 11/23/2009 200 91 Tongyang Asset Administration Corp. 12/11/2009 100 92 Royal Financial institution of Canada 12/23/2009 100 93 Aviva Buyers World Providers Restricted 12/28/2009 100 94 Ivy Funding Administration Firm 2/8/2010 100 95 DIAM Co., Ltd. 4/20/2010 100 96 OFI Asset Administration 5/21/2010 150 97 Aberdeen Asset Administration Asia Restricted 7/6/2010 200 98 KB Asset Administration Co., Ltd. 8/9/2010 100 99 Constancy Investments Administration (Hong Kong) 9/1/2010 150 Restricted 100 Legg Mason Investements (Europe) Restricted 10/8/2010 100 101 Hong Kong Financial Authority 10/27/2010 300 102 Fubon Securities Funding Belief Co. Ltd. 10/29/2010 100 103 Capital Securities Funding Belief Company 10/29/2010 100 104 BMO Investments Inc. 12/6/2010 100 105 Financial institution Julius Bear & Co.,Ltd 12/14/2010 100 106 KTB Asset Administration Co.,Ltd 12/28/2010 100 107 Lyxor Asset Administration 2/16/2011 100 108 Polaris Worldwide Securities Funding Co. 3/4/2011 100 Ltd. 109 Assicurazioni Generali S.p.A. 3/18/2011 100 110 Banco Bilbao Vizcaya Argentaria, S.A. 5/6/2011 100 111 Cathay Securities Funding Belief Co., Ltd. 6/9/2011 100 112 Fuh Hwa Securities Funding Belief Co. Ltd. 6/9/2011 100 113 Comgest S.A. 6/24/2011 100 114 Amundi Hong Kong Restricted 7/14/2011 100 115 BlackRock Institutional Belief Firm, N.A. 7/14/2011 N/A 116 Grantham, Mayo, Van Otterloo & Co.LLC 8/9/2011 100 117 Financial Authority of Singapore 10/8/2011 100 118 China Life Insurance coverage Co., Ltd.Taiwan 10/26/2011 100 119 Shin Kong Life Insurance coverage Co., Ltd. 10/26/2011 100 120 Princeton College 11/25/2011 50 121 Shinko Asset Administration Co., Ltd. 11/25/2011 100 122 Canada Pension Plan Funding Board 12/9/2011 100 123 Van Eck Associates Company 12/9/2011 N/A 124 Hansberger World Buyers, Inc. 12/13/2011 N/A 125 EARNEST Companions LLC 12/13/2011 N/A 126 Financial institution of Thailand 12/16/2011 300 127 Kuwait Funding Authority 12/21/2011 300 128 Northern Belief World Investments Restricted 12/21/2011 N/A 129 Taiwan Life Insurance coverage Co., Ltd. 12/21/2011 100 130 The Financial institution of Korea 12/21/2011 300 131 Ontario Academics' Pension Plan Board 12/22/2011 100 132 Korea Funding Company 12/28/2011 200 133 Russell Investments Eire Restricted 12/28/2011 N/A 134 Metzler Asset Administration GmbH 12/31/2011 N/A 135 HI Asset Administration Co., Restricted. 12/31/2011 100 136 Shinhan BNP Paribas Asset Administration Co., Ltd. 1/5/2012 100 137 Stichting Pensioenfonds voor Huisartsen 1/5/2012 60 138 Nationwide Pension Service (South Korea) 1/5/2012 100 139 Mercuries Life Insurance coverage Co,Ltd 1/30/2012 N/A 140 Prudential Monetary Securities Funding Belief 1/31/2012 N/A Enterprise 141 Principal World Buyers LLC 1/31/2012 N/A 142 Hospital Authority Provident Fund Scheme (HK) 1/31/2012 100 143 TransGlobe Life Insurance coverage Inc. 2/3/2012 N/A 144 Public Mutual Berhad 2/3/2012 N/A 145 Meiji Yasuda Asset Administration Firm Ltd. 2/27/2012 N/A 146 Cathay Life Insurance coverage Co., LTD. 2/28/2012 150 147 Sumitomo Mitsui Banking Company 2/28/2012 N/A 148 Fubon Life Insurance coverage Co. Ltd 3/1/2012 N/A 149 American Worldwide Assurance Co Ltd 3/5/2012 N/A 150 Neuberger Berman Europe Restricted 3/5/2012 100 151 Khazanah Nasional Berhad 3/7/2012 250 152 Capital Analysis and Administration Firm 3/9/2012 N/A 153 Tokio Marine Asset Administration Co Ltd 3/14/2012 N/A 154 Hana Daetoo Securities Co,Ltd 3/29/2012 N/A 155 Genesis Asset Managers,LLP 3/30/2012 N/A 156 Metropolis of London Funding Administration Co Ltd 3/30/2012 N/A 157 JPMorgan Asset Administration (UK) Ltd 3/30/2012 N/A 158 Okasan Asset Administration Co Ltd 3/30/2012 N/A *159 Prescient Funding Administration Pty, Ltd 4/18/2012 N/A *160 Dongbu Asset Administration Co.,Ltd 4/20/2012 N/A *161 Janus Capital Administration LLC 4/20/2012 N/A *162 Mizuho Asset Administration Co., Ltd 4/26/2012 N/A *163 Henderson World Buyers Restricted 4/28/2012 N/A N/A: not obtainable Sources: China Securities Regulatory Fee; State Administation of Overseas Trade. Figures for licences are as of finish of April. Figures for quotas are as of April 16 and in million U.S. {dollars}. (Compiled by Samuel Shen and Jason Subler; Modifying by Ryan Woo)
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Sweden is starting to talk about leaving the EU — here's what a 'Swexit' might look like
Sweden goes to the polls on Sunday to elect a new government in a vote that many commentators believe is the most contentious in decades.
The election is likely to see a strong performance from the Sweden Democrats, a right-wing, anti-immigration party with historical associations with the country's neo-Nazi movement.
It is expected to finish among the top three parties, and could find itself with some representation in the country's government.
Like many anti-immigration parties in Europe, the Sweden Democrats are highly Eurosceptic, with its leader Jimmie Åkesson frequently arguing that the country should hold a referendum on whether it should remain or leave in the European Union.
While a referendum is probably a long way off, it is now not impossible that Sweden could hold a vote for a so-called Swexit from the EU.
"Although the option of leaving the European Union (EU) does not hold majority support amongst the Swedish population," a report from Oxford Economics this week said, "the topic has garnered increasing attention since the Sweden Democrats announced their intention to hold a referendum on membership after the 2018 general election."
But what would Sweden, the EU's seventh-largest economy, leaving the EU actually mean economically?
Stockholm, Sweden.
chas B / Flickr Creative Commons
Like the UK, Sweden is somewhat peripheral to the EU. It is not part of the continental mainland, and is not part of the euro. Nevertheless, it would be a major event for both the nation and the EU as a whole.
Oxford Economics' report made clear that the possible outcomes surrounding Swexit are hugely unclear, but based its assumptions on Sweden voting to leave, before ultimately pursuing a most-favoured-nation relationship with the EU while trading on World Trade Organisation rules.
It also assumes Sweden triggering Article 50 — the mechanism for leaving the EU — in 2019, leading to a leaving date of 2021.
Slower growth, lowered migration, higher unemployment
The long and the short of Oxford's forecasts, which are based on a ten-year span to 2031, is that things would not be good for the Nordic nation.
"In the Swexit scenario Sweden's real GDP declines by 4.0% in real terms compared to our baseline forecast in which Sweden remains a member of the EU," the report, compiled by Henry Worthington, said.
Not only would Swexit lead to slower GDP growth going forward, it would also lead to lowered migration, the report said. That, in line with weak growth, would see unemployment increase significantly, the report said.
"In our baseline forecast employment is projected to grow at 0.16% per year during the scenario horizon, a rate which drops to virtually zero in the Swexit scenario," Oxford Economics wrote.
"As a result, the Swedish economy supports 73,000 fewer jobs in 2031 compared to baseline a decline of 1.4 percent."
Household finances would also suffer, losing a cumulative 30,300 krona on average in the 10 years after Swexit, equivalent to around $3,300.
Roman Sigaev/ Shutterstock
The positives
There would also be positives, however, thanks to the fact that after leaving the EU "Sweden would no longer have to contribute to the EU budget, freeing up fiscal resources to finance investment in public services or tax cuts."
Here's the key extract:
"As a relatively high-income member, Sweden has consistently been a net contributor to the EU budget, a pattern can be expected to continue going forward. In total, we forecast that Sweden's net contribution during the scenario horizon would total €51.3 billion.
"Despite an assumed 'divorce bill' of €24.3 billion this still yields a fiscal dividend of €27.0 billion equivalent to 0.4 percent of GDP over the scenario horizon."
Source: https://www.businessinsider.com/swexit-what-happens-if-sweden-leaves-eu-2018-9&%3Butm_medium=referral&IR=T
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&amp;amp;amp;amp;amp;amp;lt;blockquote&amp;amp;amp;amp;amp;amp;gt;&amp;amp;amp;amp;amp;amp;lt;p&amp;amp;amp;amp;amp;amp;gt;Currency Market&amp;amp;amp;amp;amp;amp;lt;/p&amp;amp;amp;amp;amp;amp;gt; &amp;amp;amp;amp;amp;amp;lt;p&amp;amp;amp;amp;amp;amp;gt; <blockquote class="wp-block-quote"><p>The International Currency Market, or FOREX, is an over-the-counter market where banks, central banks, sharks, investment management firms, hedge funds, and brokers buy and sell currencies. In general, the key drivers of FOREX are Central Bank Interest Rates, Central Bank Intervention, Options, Fear and Greed, and News.</p></blockquote> <hr class="wp-block-separator"/> <p></p> <!-- TradingView Widget BEGIN --> <div class="tradingview-widget-container"> <div id="tradingview_6cb2c"></div> <div class="tradingview-widget-copyright"><a href="https://www.tradingview.com/symbols/INDEX-DXY/" rel="noopener noreferrer" target="_blank"><span class="blue-text">DXY Chart</span></a> by TradingView</div> <script type="text/javascript" src="https://s3.tradingview.com/tv.js"></script> <script type="text/javascript"> new TradingView.widget( "width": 980, "height": 819, "symbol": "INDEX:DXY", "timezone": "Etc/UTC", "theme": "Light", "style": "1", "locale": "en", "toolbar_bg": "#f1f3f6", "enable_publishing": false, "range": "12m", "allow_symbol_change": true, "studies": [ "HV@tv-basicstudies", "MAExp@tv-basicstudies", "StochasticRSI@tv-basicstudies" ], "container_id": "tradingview_6cb2c" ); </script> </div> <!-- TradingView Widget END --> <h4>Technical analysis in the Currency Market</h4> <p>Technical analysis is widely used among traders and financial professionals operating in the currency market. In the 1960s and 1970s, it was widely dismissed by academics; however, in a recent review, Irwin and Park reported that 56 of 95 modern studies found it produces positive results, but noted that many of the positive results were rendered dubious by issues such as <a href="https://www.bamboos-consulting.com/quantitative-trading/">data snooping</a>. Academics such as Eugene Fama say the evidence for technical analysis is sparse and is inconsistent with the weak form of the efficient-market hypothesis. However, technical trading strategies were found to be effective in the Chinese marketplace by a recent study that states, “Finally, we find significant positive returns on buy trades generated by the contrarian version of the moving average crossover rule, the channel breakout rule, and the Bollinger band trading rule, after accounting for transaction costs of 0.50 percent”.</p> <h4>The Determinants of Currency Fluctuations</h4> <p>In general, it does not exist a single theory explaining why and how currencies change. However, the traditional balance of payments model can be augmented considering various factors influencing the market.</p> <p>The <strong>Balance of Payments</strong> is broken down into three important sub-components which sum-up to zero: </p> <ul><li>the current account balance consists of the goods balance, the service balance, net income receipts, and net international transfers. The sum of the goods balance and service balance is called the trade balance; such a measure provides a quick look at the international competitiveness of the country. Specifically, the trade balance is calculated by subtracting all imports of goods and services (M) from the exports of goods and services (X). If a country’s imports exceed its exports (X-M<0) it is said to be running a trade deficit. In general, most developed nations exhibit a surplus in the services balance.</li></ul> <figure class="wp-block-image"><img src="https://www.bamboos-consulting.com/wp-content/uploads/2019/08/CA_accounts-1024x520.png" alt="" class="wp-image-3213" srcset="https://www.bamboos-consulting.com/wp-content/uploads/2019/08/CA_accounts-1024x520.png 1024w, https://www.bamboos-consulting.com/wp-content/uploads/2019/08/CA_accounts-300x152.png 300w, https://www.bamboos-consulting.com/wp-content/uploads/2019/08/CA_accounts-768x390.png 768w, https://www.bamboos-consulting.com/wp-content/uploads/2019/08/CA_accounts-469x238.png 469w, https://www.bamboos-consulting.com/wp-content/uploads/2019/08/CA_accounts-532x270.png 532w" sizes="(max-width: 1024px) 100vw, 1024px" /><figcaption>IMF Data</figcaption></figure> <ul><li>the capital account balance keeps track of all the flow of non-produced and non-financial assets, such as the transfer of ownership in natural resources, intellectual property rights, franchises and leases, capital transfers of migrants, and debt forgiveness.</li><li>the financial account balance tracks financial flows coming in and going out of the economy. Foreign direct investment consisting of long-term financial investment abroad, characterized by large ownership stakes (over 10 percent) in foreign firms. Portfolio investment composed of more liquid financial investments, generally undertaken in the form of stocks, bonds, and bank balances. Note that financial investment in the US increases as the interest rate rises, whereas capital investment decreases as the interest rate rises since the cost of amortizing the loan to purchase the asset increases.</li></ul> <p>Finally, the <strong>official reserve transactions</strong> tracks the international currency dealings of a country’s central bank. The central bank interacts not only with the domestic bond and money markets, but also with international currency markets, with foreign central banks, and with international institutions like the International Monetary Fund, and the World Bank. Indeed, as part of its task of conducting monetary policy at the national level, the central bank may hold a diversified international portfolio that includes international currency reserves and foreign government bonds. However, the central bank does not issue government debt, such as US treasury bills which are issued by the treasury department and recorded under government assets, in the category called other than official reserve assets.</p> <p>The balance of payments theory states that exchange rates should be at their equilibrium level, which is the rate that produces a stable current account balance. Capital flows and trade flows quantify the amount of demand for a currency over a given period of time. If the trade flow balance is negative, the country imports exceed exports and vice-versa. The capital flow balance is positive if foreign inflows of physical or capital investments exceed outflows and vice-versa. Note that when the equity market is rising, the flow of capital increases determining a correlation to the exchange rate movement; the same is true for the fixed-income market in times of global uncertainty.</p> <figure class="wp-block-image"><img src="https://www.bamboos-consulting.com/wp-content/uploads/2019/08/bop_imf-1024x673.png" alt="Balance of Payments" class="wp-image-3162" srcset="https://www.bamboos-consulting.com/wp-content/uploads/2019/08/bop_imf-1024x673.png 1024w, https://www.bamboos-consulting.com/wp-content/uploads/2019/08/bop_imf-300x197.png 300w, https://www.bamboos-consulting.com/wp-content/uploads/2019/08/bop_imf-768x505.png 768w, https://www.bamboos-consulting.com/wp-content/uploads/2019/08/bop_imf-401x264.png 401w, https://www.bamboos-consulting.com/wp-content/uploads/2019/08/bop_imf-411x270.png 411w, https://www.bamboos-consulting.com/wp-content/uploads/2019/08/bop_imf.png 1075w" sizes="(max-width: 1024px) 100vw, 1024px" /><figcaption>IMF</figcaption></figure> <p>Other determinants of the exchange rate include:</p> <ul><li>The money supply, expected future money supply, and the growth rate of the money supply. Countries experiencing a stable monetary policy see their currencies appreciating and vice-versa. </li><li>Higher interest rates result in appreciation and vice-versa because of more attractive investments.</li><li>The flow of funds into the financial assets of a country increases the demand for that country’s currency (and vice-versa).</li><li>Economic data releases have a varying impact accordingly to the economic factors relevant at the announcement date. In general employment, monetary policy decisions, and inflation data remain the most market-moving releases.</li><li><a rel="noreferrer noopener nofollow" aria-label="Quantitative easing (opens in a new tab)" href="https://corporatefinanceinstitute.com/resources/knowledge/economics/quantitative-easing/" target="_blank">Quantitative easing</a> has a strong impact. For instance, each FED round triggered a sharp rise in EURUSD.</li></ul> <h4>Plotting BoP data with Python</h4> <p>US BoP data is available from a number of sources. However, among the others, the most reliable and easy to manipulate is IMF.</p> <embed src="https://www.bamboos-consulting.com/wp-content/uploads/2019/08/IMF-1.pdf" type="application/pdf" width="774" height="500"></embed> <p> </p> <h4>The Exchange Rate</h4> <p>Whenever the BoP registers a purchase of a foreign asset or a sale of a domestic commodity abroad, this implicitly indicates that there is a change in the demand for or in the supply of the foreign currency. Any change in the BoP sets off by definition a change in the market for foreign currency. For instance, the <strong>nominal exchange rate</strong> is simply the number of dollars you have to pay to get one British pound; the <strong>real exchange rate</strong> accounts for inflation in both countries. To obtain the real exchange rate we first divide the number of dollars we have to pay by the US price level and the number of British pounds we receive (£1) by the UK price level. The real exchange rate is thus simply the nominal £exchange rate times an adjustment for the relative change in prices abroad and at home. The real exchange rate is a measure of the international competitiveness of a country: changes in the international competitiveness depend not only on changes in the nominal exchange rate but also on changes in the relative price level in the two countries. A real depreciation that can be caused either by a nominal depreciation or a decrease in the domestic price level or an increase in the foreign price level (or some combination of these) will enhance a country’s international competitiveness while a real appreciation will have the opposite impact.</p> <p>To measure a country’s overall export competitiveness it is often employed a general measure that extends such a bilateral measure into a multilateral measure. This multilateral measure accounts for the fact that trade occurs with many countries. This measure is called the <strong>effective exchange rate</strong> and is defined as the weighted sum of all bilateral exchange rates. The weight for a bilateral exchange rate is simply the fraction of total trade that the domestic economy conducts with the country. The effective exchange rate can also be adjusted when we are interested in real rather than nominal variables. All we have to do is to sum over all real exchange rates (in index form) rather than the nominal exchange rates.</p> <h4>Trading the Currency Market</h4> <p>Mid-term currency trading offers lower transaction costs and swap earnings (interest paid on the currency borrowed and earned on the one bought) without a substantial risk of losing capital unless very risky crosses are selected. However, the requirements include a deep understanding of market fundamentals, the ability to sustain the short-term and medium-term movements of the currency market, and a sizable account to trade with. An important aid in positon trading derives from the correlations occurring with other financial instruments and resulting from relatively predictable capital flows. </p> <ul><li>Swap and fly strategy. The forex market is closed on Saturdays and Sundays, so no swap rate is incurred or earned over the weekend. However, most liquidity providers still apply the swap rules over the weekend. To balance the effect of non-trading activities over the weekend, the forex market books three days of swap on Wednesday. Hence, if you hold a trade over 5 P.M. on a Wednesday evening, you will either incur or earn three times the normal rates.</li><li>Siamese Twins. Take a long position on AUD/USD immediately after China announces better-than-expected data. Indeed, China will start to import more raw materials from Australia. This increase in business gives rise to a stronger AUD. Moreover, good data from China tend to increase speculation on higher-yielding currencies (AUD is one of the highest among the G20 nations) because China has substantially a positive effect on the global economy. </li><li>Oil Correlation with USDCAD. Canada, as one of ten world’s oil producers, exports most of its oil and its economy is severely hit when oil prices decline. Thus, the price of oil may predict the movement of the Canadian dollar. However, remember oil prices can be very volatile.</li><li>Spot Gold against Dollar Index. The U.S. Dollar Index is an exchange-traded index representing the value of the U.S. dollar in terms of a basket of six major foreign currencies( Euro (57.6%), yen (13.6%), pound (11.9%), Canadian dollar (9.1%), Swedish krona (4.2%), Swiss franc (3.6%)). This strategy seeks to exploit the inverse relationship between the Dollar Index and the price of gold.</li><li>Interest Rate Differentials. The correlation between interest rate differentials and currency pairs can be very useful. Interest rate differentials can be calculated by subtracting the yield of the second currency in the pair from the yield of the first. For instance, the interest rate differentials in GBPUSD should be the 10-year gilt rate minus the U.S. 10-year rate. The trade is based on the fact the majority of international investors are yield seekers.</li></ul> <h4>References</h4> <p>Lien, K. (2012). Day Trading and Swing Trading the Currency Market</p> <p>International Economic Accounts, Bureau of Economic Analysis, US Department of Commerce (http://www.bea.gov/international/index.htm#bop)</p> <p>The Balance of Payments of the United States, Concepts, Data Sources, and Estimating Procedures, April 1990, Robert A. Mosbacher and Michael R. Darby, Under Secretary for Economics Affairs, Bureau of Economic Analysis.</p> <p>How BEA Aligns and Augments Source Data From the U.S. Treasury Department for Inclusion in the International Transactions Accounts, July 2006, Survey of Current Business, Bureau of Economics Analysis.</p> <p>International Monetary Fund, Balance of Payments Yearbook, Washington DC: IMF annual.</p> <p>International Monetary Fund, International Financial Statistics, Washington DC: IMF monthly.</p> <p>Balance of Payments Manual, International Monetary Fund, Washington DC. (www.imf.org/external/np/stat/bop/BOPman.pdf)</p> &amp;amp;amp;amp;amp;amp;lt;/p&amp;amp;amp;amp;amp;amp;gt;&amp;amp;amp;amp;amp;amp;lt;/blockquote&amp;amp;amp;amp;amp;amp;gt;&amp;amp;amp;amp;amp;amp;lt;p&amp;amp;amp;amp;amp;amp;gt; See https://is.gd/IqGJXv for more&amp;amp;amp;amp;amp;amp;lt;/p&amp;amp;amp;amp;amp;amp;gt;
Currency Market
The International Currency Market, or FOREX, is an over-the-counter market where banks, central banks, sharks, investment management firms, hedge funds, and brokers buy and sell currencies. In general, the key drivers of FOREX are Central Bank Interest Rates, Central Bank Intervention, Options, Fear and Greed, and News.
DXY Chart by TradingView
new TradingView.widget( "width": 980, "height": 819, "symbol": "INDEX:DXY", "timezone": "Etc/UTC", "theme": "Light", "style": "1", "locale": "en", "toolbar_bg": "#f1f3f6", "enable_publishing": false, "range": "12m", "allow_symbol_change": true, "studies": [ "HV@tv-basicstudies", "MAExp@tv-basicstudies", "StochasticRSI@tv-basicstudies" ], "container_id": "tradingview_6cb2c" );
Technical analysis in the Currency Market
Technical analysis is widely used among traders and financial professionals operating in the currency market. In the 1960s and 1970s, it was widely dismissed by academics; however, in a recent review, Irwin and Park reported that 56 of 95 modern studies found it produces positive results, but noted that many of the positive results were rendered dubious by issues such as data snooping. Academics such as Eugene Fama say the evidence for technical analysis is sparse and is inconsistent with the weak form of the efficient-market hypothesis. However, technical trading strategies were found to be effective in the Chinese marketplace by a recent study that states, “Finally, we find significant positive returns on buy trades generated by the contrarian version of the moving average crossover rule, the channel breakout rule, and the Bollinger band trading rule, after accounting for transaction costs of 0.50 percent”.
The Determinants of Currency Fluctuations
In general, it does not exist a single theory explaining why and how currencies change. However, the traditional balance of payments model can be augmented considering various factors influencing the market.
The Balance of Payments is broken down into three important sub-components which sum-up to zero:
the current account balance consists of the goods balance, the service balance, net income receipts, and net international transfers. The sum of the goods balance and service balance is called the trade balance; such a measure provides a quick look at the international competitiveness of the country. Specifically, the trade balance is calculated by subtracting all imports of goods and services (M) from the exports of goods and services (X). If a country’s imports exceed its exports (X-M<0) it is said to be running a trade deficit. In general, most developed nations exhibit a surplus in the services balance.
IMF Data
the capital account balance keeps track of all the flow of non-produced and non-financial assets, such as the transfer of ownership in natural resources, intellectual property rights, franchises and leases, capital transfers of migrants, and debt forgiveness.
the financial account balance tracks financial flows coming in and going out of the economy. Foreign direct investment consisting of long-term financial investment abroad, characterized by large ownership stakes (over 10 percent) in foreign firms. Portfolio investment composed of more liquid financial investments, generally undertaken in the form of stocks, bonds, and bank balances. Note that financial investment in the US increases as the interest rate rises, whereas capital investment decreases as the interest rate rises since the cost of amortizing the loan to purchase the asset increases.
Finally, the official reserve transactions tracks the international currency dealings of a country’s central bank. The central bank interacts not only with the domestic bond and money markets, but also with international currency markets, with foreign central banks, and with international institutions like the International Monetary Fund, and the World Bank. Indeed, as part of its task of conducting monetary policy at the national level, the central bank may hold a diversified international portfolio that includes international currency reserves and foreign government bonds. However, the central bank does not issue government debt, such as US treasury bills which are issued by the treasury department and recorded under government assets, in the category called other than official reserve assets.
The balance of payments theory states that exchange rates should be at their equilibrium level, which is the rate that produces a stable current account balance. Capital flows and trade flows quantify the amount of demand for a currency over a given period of time. If the trade flow balance is negative, the country imports exceed exports and vice-versa. The capital flow balance is positive if foreign inflows of physical or capital investments exceed outflows and vice-versa. Note that when the equity market is rising, the flow of capital increases determining a correlation to the exchange rate movement; the same is true for the fixed-income market in times of global uncertainty.
IMF
Other determinants of the exchange rate include:
The money supply, expected future money supply, and the growth rate of the money supply. Countries experiencing a stable monetary policy see their currencies appreciating and vice-versa.
Higher interest rates result in appreciation and vice-versa because of more attractive investments.
The flow of funds into the financial assets of a country increases the demand for that country’s currency (and vice-versa).
Economic data releases have a varying impact accordingly to the economic factors relevant at the announcement date. In general employment, monetary policy decisions, and inflation data remain the most market-moving releases.
Quantitative easing has a strong impact. For instance, each FED round triggered a sharp rise in EURUSD.
Plotting BoP data with Python
US BoP data is available from a number of sources. However, among the others, the most reliable and easy to manipulate is IMF.
The Exchange Rate
Whenever the BoP registers a purchase of a foreign asset or a sale of a domestic commodity abroad, this implicitly indicates that there is a change in the demand for or in the supply of the foreign currency. Any change in the BoP sets off by definition a change in the market for foreign currency. For instance, the nominal exchange rate is simply the number of dollars you have to pay to get one British pound; the real exchange rate accounts for inflation in both countries. To obtain the real exchange rate we first divide the number of dollars we have to pay by the US price level and the number of British pounds we receive (£1) by the UK price level. The real exchange rate is thus simply the nominal £exchange rate times an adjustment for the relative change in prices abroad and at home. The real exchange rate is a measure of the international competitiveness of a country: changes in the international competitiveness depend not only on changes in the nominal exchange rate but also on changes in the relative price level in the two countries. A real depreciation that can be caused either by a nominal depreciation or a decrease in the domestic price level or an increase in the foreign price level (or some combination of these) will enhance a country’s international competitiveness while a real appreciation will have the opposite impact.
To measure a country’s overall export competitiveness it is often employed a general measure that extends such a bilateral measure into a multilateral measure. This multilateral measure accounts for the fact that trade occurs with many countries. This measure is called the effective exchange rate and is defined as the weighted sum of all bilateral exchange rates. The weight for a bilateral exchange rate is simply the fraction of total trade that the domestic economy conducts with the country. The effective exchange rate can also be adjusted when we are interested in real rather than nominal variables. All we have to do is to sum over all real exchange rates (in index form) rather than the nominal exchange rates.
Trading the Currency Market
Mid-term currency trading offers lower transaction costs and swap earnings (interest paid on the currency borrowed and earned on the one bought) without a substantial risk of losing capital unless very risky crosses are selected. However, the requirements include a deep understanding of market fundamentals, the ability to sustain the short-term and medium-term movements of the currency market, and a sizable account to trade with. An important aid in positon trading derives from the correlations occurring with other financial instruments and resulting from relatively predictable capital flows.
Swap and fly strategy. The forex market is closed on Saturdays and Sundays, so no swap rate is incurred or earned over the weekend. However, most liquidity providers still apply the swap rules over the weekend. To balance the effect of non-trading activities over the weekend, the forex market books three days of swap on Wednesday. Hence, if you hold a trade over 5 P.M. on a Wednesday evening, you will either incur or earn three times the normal rates.
Siamese Twins. Take a long position on AUD/USD immediately after China announces better-than-expected data. Indeed, China will start to import more raw materials from Australia. This increase in business gives rise to a stronger AUD. Moreover, good data from China tend to increase speculation on higher-yielding currencies (AUD is one of the highest among the G20 nations) because China has substantially a positive effect on the global economy.
Oil Correlation with USDCAD. Canada, as one of ten world’s oil producers, exports most of its oil and its economy is severely hit when oil prices decline. Thus, the price of oil may predict the movement of the Canadian dollar. However, remember oil prices can be very volatile.
Spot Gold against Dollar Index. The U.S. Dollar Index is an exchange-traded index representing the value of the U.S. dollar in terms of a basket of six major foreign currencies( Euro (57.6%), yen (13.6%), pound (11.9%), Canadian dollar (9.1%), Swedish krona (4.2%), Swiss franc (3.6%)). This strategy seeks to exploit the inverse relationship between the Dollar Index and the price of gold.
Interest Rate Differentials. The correlation between interest rate differentials and currency pairs can be very useful. Interest rate differentials can be calculated by subtracting the yield of the second currency in the pair from the yield of the first. For instance, the interest rate differentials in GBPUSD should be the 10-year gilt rate minus the U.S. 10-year rate. The trade is based on the fact the majority of international investors are yield seekers.
References
Lien, K. (2012). Day Trading and Swing Trading the Currency Market
International Economic Accounts, Bureau of Economic Analysis, US Department of Commerce (http://www.bea.gov/international/index.htm#bop)
The Balance of Payments of the United States, Concepts, Data Sources, and Estimating Procedures, April 1990, Robert A. Mosbacher and Michael R. Darby, Under Secretary for Economics Affairs, Bureau of Economic Analysis.
How BEA Aligns and Augments Source Data From the U.S. Treasury Department for Inclusion in the International Transactions Accounts, July 2006, Survey of Current Business, Bureau of Economics Analysis.
International Monetary Fund, Balance of Payments Yearbook, Washington DC: IMF annual.
International Monetary Fund, International Financial Statistics, Washington DC: IMF monthly.
Balance of Payments Manual, International Monetary Fund, Washington DC. (www.imf.org/external/np/stat/bop/BOPman.pdf)
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