Forex Trading.News.Forex Trading.News.Forex Trading.News

Forex Trading Characteristics
FX trading is a union or the Central Market is open for a majority, and there is very little cross-border rules. On-the-counter (OTC) nature of currency markets, there were many market related, where different currency instruments listed. This means that there is no value change, but different rates (prices) depends on, a number of banks or market makers trade, and in any place. Additional levels are often very close, if they can not be used by arbitrase soon. Market dominance in London, London as the market value of common currency is worth collecting. Chicago Mercantile Exchange and Reuters joint venture, Fxmarketspace called opened in 2007 and aimed, but the central role of market mechanisms Kliring.

The one major trading center in London, but New York, Tokyo, Hong Kong and Singapore are also important centers. Banks around the world participate. In Asian trading session, as currency trading is continuous throughout the day ends, the European session begins, the North American session and then back into the Asian session, including the city's end.

Price volatility is caused by changes common as currents and the current gross product (GDP) due to changes in expectations for real change, inflation (purchasing power theory paritas), flowers (flower paritas, domestic Fisher effect International Fisher effect), financial and trade deficit or excess, a large cross-border M & A transactions and other macroeconomic conditions. Public release news articles, often on deadline, so many people at the same time used the same news. However, large banks have an important advantage: they can see the flow of your client.

Listed currency against another. A currency pair is dependent on each product and traditionally XXX / YYY, where YYY three letter ISO-4217 international currency code XXX said a unit value (called a cash basis points) is recorded. For example, EUR / USD is the price of euro expressed in dollars, as of 1 € = 1.5465 U.S. dollars. According to tradition, currency pair, the first base currency, currency pair is strong in construction time. Another currency, unlike currency, currency pair at the time of construction is weak.

Factors that both XXX XXX / YYY and XXX / ZZZ influence. The positive relationship between currency XXX / YYY and XXX / ZZZ causes.

Bureau of Indian Standards in the spot market study, most products that are listed:

EUR USD /: 27%
USD JPY /: 13%
GBP / USD (also called sterling or cable): 12%
And 86.3% in the U.S. currency trading, euro (37.0%), yen (17.0%) and £ (15.0%) included post (see table). Note that volume percentages 200%: 100 for all sellers and buyers should add to 100%%.

Euro in January 1999 in the trade exchange has grown rapidly since inception, and how long dollar based currencies will be open to dispute. Until recently, listed non-European currency ZZZ usually two businesses: EUR / USD and GBP / ZZZ includes euro against. The exception for EUR / JPY, the currency pair listed in the spot market antarbank established. Because commodity prices in 2008 dollar value (like oil) using the Euro as currency referensi interest is Erode, and a large portion of the proposed devisa Bank, has increased dramatically. Transactions in currencies of commodity producing countries such as AUD, GBP, CAD, as has increased.LINK