Risk Warning: FX & CFD trading involve a high level of risks, including capital invested
Access professional fundamental and
technical insights for the fourth quarter of 2020.
It’s been a whirlwind of a year, to say the least, but the struggle is not over yet.
The beginning of the last quarter was dominated by significant uncertainty regarding economic recovery and the possibility of a second wave.
And almost like Groundhog Day, the same sentiment looms as we enter the fourth quarter of 2020.
With COVID cases on the rise around the world and the impending fall/winter season approaching, the progression of the virus in the lead up to the first viable vaccine remains uncertain.
With the markets holding their breaths in anticipation of several destiny-changing events, including the US election, the final Brexit deal, and the unrest in the Mediterranean, what can investors expect moving forward?
Our Investment Research team proudly presents our Quarter 4 outlook report, reviewing global economies in Quarter 3 and examining the likely trend themes for Forex, Indices, Metals and Energies. Analyzing asset prices, macros and cycles, our market research team construct a comprehensive investment forecast emanating from leading and lagging indicators, and policy signals that affect how the ﬁnancial markets perform.
Stavros Tousios, MBA, CMIHead of Investment Research
Stavros is a certified investment professional specializing in core institutional trading strategies. An engineer by trade, his analytical mind allows him to identify the right opportunities at the right time. As both an active trader and analyst, Stavros selects investment ideas that offer a good risk to reward ratio.
James HarteMarket Strategist
With over 6 years experience analysing currency markets, James is a well-known industry analyst focusing on price action trading and fundamental drivers. Alongside his market experience, James is IMC certified with a keen eye for generating and executing trade ideas, with trades generally lasting from a few hours to a few days.
John has over 8 years of experience specializing in the currency markets, tracking the macroeconomic and geopolitical developments shaping the financial markets. John applies a mix of fundamental and technical analysis and has a special interest in inter-market analysis and global politics.
Daniel John Grady Market Researcher
Daniel John Grady is a financial analyst and writer. He is a former CFO with a degree in Financial Management and has been published in both English and Spanish. With over ten years of equities trading experience, he is primarily interested in emerging markets with a focus on Latin America.
David Kindley Market Strategist
David is a seasoned analyst with over 10 years of trading experience in the financial markets. With a keen eye for macroeconomics and a special focus on trading psychology, David is passionate about helping everyday investors make informed trading decisions through his thorough research and analysis.
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