Webinar Schedule
Mondays, 7:30 EDT/12:30 GMT: FX Week Ahead: Strategy for Major Event Risk
Wednesdays, 6:00 EDT/11:00 GMT: Trading Q&A
Thursdays, 7:30 EDT/11:00 GMT: Central Bank Weekly
In this webinar I discuss the major central banks' monetary policies and their implications for FX markets in 2017.
Topics covered include:
- How has the Fed been a driving factor behind the US Dollar, as well as merely a participant in the 'Trump reflation trade?'
- Why are the Euro and the Yen at a disadvantage in a rising rate environment?
- Should we expect more easing from the ECB this year?
- How is the BOE reacting to developments in the Brexit saga?
Read more: DailyFX Q1'17 Forecasts and Trades of the Year
--- Written by Christopher Vecchio, Senior Currency Strategist
To contact Christopher Vecchio, e-mail cvecchio@dailyfx.com
Follow him on Twitter at @CVecchioFX
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