The economy determines the exchange rate. If the economy is strong and inflation is above the target, then rates should be raised. The BoJ is refusing to make a rate hike. It has kept borrowing costs at 0.25%, spurring USDJPY quotes. Let's discuss this topic and make a trading plan. Major Takeaways The Bank of Japan kept the overnight rate unchanged at 0.25%. Kazuo Ueda signaled that the rate would remain at that mark until March. Politics may have driven the BoJ's decision. Long positions on the USDJPY pair can be opened on a rebound from 155.45, 155, and 154.5. Weekly... Read full author’s opinion and review in blog of #LiteFinance
The EURUSD is one of the major and most traded currency pairs in the Forex market. Traders analyze its future price not only for trading purposes but also to gauge the economic conditions of the EU and the US, along with the global market sentiment. Since the pair is widely traded, predicting its exchange rate from a long-term investment perspective can be challenging. The EURUSD exchange rate movement is influenced by interest rate differentials, inflation, unemployment rates, trade, and capital flows. At the same time, much of the pricing is related to unforeseen event risks and market sentiment changes. With... Read full author’s opinion and review in blog of #LiteFinance
A forecast for the gold price entails a comprehensive assessment of economic, political, and financial factors, as well as market trends, within the context of anticipated events and macroeconomic conditions. What are the prospects for gold in 2025? In light of the forthcoming central bank meetings, how will potential interest rate shifts impact the value of gold? Will gold retain its status as a safe-haven asset as the geopolitical turmoil increases? This article examines the historical data, professional analytical assessments, and present scenarios for the 2025–2026 gold exchange rate and the long-term outlook. Major Takeaways The current price of gold... Read full author’s opinion and review in blog of #LiteFinance
The question of whether oil will rise or fall is a pressing concern for traders and investors who closely follow the energy market. Geopolitical and economic factors make oil price forecasting a challenging task. Therefore, it is crucial to analyze expert forecasts before making informed trading decisions. Recent data shows a notable decrease in oil purchases of WTI and Brent among asset managers. According to the Commodity Futures Trading Commission, the pace of reduction is the fastest in 4 years. Meanwhile, OPEC is sticking to its decision for member countries to temporarily reduce production until the end of 2024, preventing... Read full author’s opinion and review in blog of #LiteFinance
Dear readers, I've prepared a short-term forecast for Bitcoin, Ripple, and Ethereum based on the Elliott wave analysis. Major Takeaways BTCUSD: The price may be correcting to the downside. Consider short positions from the current level with Take Profit at 91,965.00. XRPUSD: A decline to a low of 1.897 is expected. Consider short positions with Take Profit at 1.897. ETHUSD: A decline to a low of 3,083.00 is expected. Consider selling from the current level with Take Profit at 3,083.00. Elliott Wave Analysis for Bitcoin BTCUSD has presumably formed a correction [4] as a double zigzag (W)-(X)-(Y). A new bullish wave is developing in the... Read full author’s opinion and review in blog of #LiteFinance
Rumors that the December cut in the federal funds rate would be the final one caused investors to worry. However, inflation data and Fed officials' remarks have helped alleviate these concerns. Let's discuss this topic and make a trading plan for the EURUSD pair. Major Takeaways The US PCE index slowed to its lowest level since May. FOMC officials continue to insist on rate cuts. Donald Trump threatens Europe with tariffs. Short trades can be opened on the EURUSD pair if it rebounds from 1.0465 and 1.05. Weekly US Dollar Fundamental Forecast The market's recent fluctuations have led to speculation... Read full author’s opinion and review in blog of #LiteFinance
Alibaba is a major player in online commerce and cloud technology. However, its stock price continues to face pressure due to regulatory restrictions in China, US sanctions on technology exports, and the volatility of the Chinese economy. Despite these challenges, the company is demonstrating resilience by developing its core businesses and investing in innovation. Although the stock price has declined over recent years, projections for 2025 indicate a potential increase, with prices surpassing $120 and reaching lows around $70. Interest in Alibaba's investment prospects remains strong, as fundamental factors such as its strengthened position in cloud services and international expansion... Read full author’s opinion and review in blog of #LiteFinance
The NEO cryptocurrency was launched in 2014 and is known as one of the first blockchain platforms in China, focused on creating smart contracts and digital assets. Technological innovations, including scalability support and compatibility with various programming languages, enable NEO to maintain its niche among popular crypto assets. NEO successfully adapts to a rapidly changing market, focusing on ecosystem updates and expanding partnerships. However, the future of this coin depends on market demand, global regulations, and competition with other blockchain projects. This article explores NEO's prospects, taking into account its current achievements and expert opinions. Major Takeaways The current NEO price... Read full author’s opinion and review in blog of #LiteFinance
Major Takeaways Main scenario: Consider short positions from corrections below the level of 2728.40 with a target of 2418.82 – 2304.21. A sell signal: the price holds below 2728.40. Stop Loss: above 2735, Take Profit: 2418.82 – 2304.21. Alternative scenario: Breakout and consolidation above the level of 2728.40. will allow the asset to continue rising to the levels of 2792.47 – 2880.00. A buy signal: the level of 2728.40 is broken to the upside. Stop Loss: below 2720.00, Take Profit: 2792.47 – 2880.00. Main Scenario Consider short positions from corrections below the level of 2728.40 with a target of 2418.82... Read full author’s opinion and review in blog of #LiteFinance
Major Takeaways Main scenario: After the correction ends, consider short positions below the level of 78.88 with a target of 61.50 – 53.60. A sell signal: the price holds below 78.88. Stop Loss: above 79.20, Take Profit: 61.50 – 53.60. Alternative scenario: Breakout and consolidation above the level of 78.88 will allow the asset to continue rising to the levels of 83.75 – 94.97. A buy signal: the level of 78.88 is broken to the upside. Stop Loss: below 78.50, Take Profit: 83.75 – 94.97. Main Scenario Consider short positions below the level of 78.88 with a target of 61.50... Read full author’s opinion and review in blog of #LiteFinance
Major Takeaways Main scenario: After the correction ends, consider short positions below the level of 161.75 with a target of 138.00 – 131.40. A sell signal: if the price holds below 161.75. Stop Loss: above 162.10, Take Profit: 138.00 – 131.40. Alternative scenario: Breakout and consolidation above the level of 161.75 will allow the pair to continue rising to the levels of 170.00 – 175.00. A buy signal: the level of 161.75 is broken to the upside. Stop Loss: below 161.40, Take Profit: 170.00 – 175.00. Main Scenario Consider short positions below the level of 161.75 with a target of... Read full author’s opinion and review in blog of #LiteFinance
Major Takeaways Main scenario: Consider short positions from corrections below the level of 1.2735 with a target of 1.2240 – 1.1900. A sell signal: the price holds below 1.2735. Stop Loss: above 1.2765, Take Profit: 1.2240 – 1.1900. Alternative scenario: Breakout and consolidation above the level of 1.2735 will allow the pair to continue rising to the levels of 1.3054 – 1.3440. A buy signal: the level of 1.2735 is broken to the upside. Stop Loss: below 1.2705, Take Profit: 1.3054 – 1.3440. Main Scenario Consider short positions from corrections below the level of 1.2735 with a target of 1.2240... Read full author’s opinion and review in blog of #LiteFinance
The political crisis in Canada has further compounded the visibly cooling labor market, weak economy, and concerns about 25% U.S. tariffs. Тhis onslaught of negative factors pushed the USDCAD quotes up. Let’s discuss it and make a trading plan. Major Takeaways Canadian government loses unity, pushing USD/CAD higher. Ottawa ponders how to respond to Donald Trump's threats. Rapid overnight rate cut puts pressure on the Canadian dollar. USD/CAD risks continuing the rally towards 1.455 and 1.488. Monthly fundamental forecast for the Canadian dollar Misfortune never comes alone. Canada became the third G7 country to face a political crisis before Donald... Read full author’s opinion and review in blog of #LiteFinance
Major Takeaways Main scenario: Consider short positions from corrections below the level of 1.0536 with a target of 1.0193 – 1.0000. A sell signal: the price holds below 1.0536. Stop Loss: above 1.0565, Take Profit: 1.0193 – 1.0000. Alternative scenario: Breakout and consolidation above the level of 1.0536 will allow the pair to continue rising to the levels of 1.0790 – 1.0940. A buy signal: the level of 1.0536 is broken to the upside. Stop Loss: below 1.0510, Take Profit: 1.0790 – 1.0940. Main Scenario Consider short positions from corrections below the level of 1.0536 with a target of 1.0193... Read full author’s opinion and review in blog of #LiteFinance
Major Takeaways Main scenario: After the correction ends, consider short positions below the level of 0.9220 with a target of 0.8586 – 0.8386. A sell signal: the price holds below 0.9220. Stop Loss: above 0.9250, Take Profit: 0.8586 – 0.8386. Alternative scenario: Breakout and consolidation above the level of 0.9220 will allow the pair to continue rising to the levels of 0.9444 – 1.0000. A buy signal: the level of 0.9220 is broken to the upside. Stop Loss: below 0.9190, Take Profit: 0.9444 – 1.0000. Main Scenario Consider short positions below the level of 0.9220 with a target of 0.8586... Read full author’s opinion and review in blog of #LiteFinance
In times of global instability, currency markets face numerous factors influencing the value of national currencies. Variables like inflation, interest rates, and trade balance play a crucial role in shaping the exchange rate. The highest currency serves not only as a sign of economic resilience but also as an attractive asset for international investors. Amid volatility, certain countries have maintained their positions, issuing some of the most valuable currencies in the world. In this article, we’ll reveal which one is the highest currency in the world and what makes it so sought after. Major Takeaways The article provides an overview... Read full author’s opinion and review in blog of #LiteFinance
Major Takeaways Main scenario: Consider long positions from corrections above the level of 1.4200 with a target of 1.4800 – 1.5200. A buy signal: the price holds above 1.4200. Stop Loss: below 1.4170, Take Profit: 1.4800 – 1.5200. Alternative scenario: Breakout and consolidation below the level of 1.4200 will allow the pair to continue declining to the levels of 1.3970 – 1.3800. A sell signal: the level of 1.4200 is broken to the downside. Stop Loss: above 1.4230, Take Profit: 1.3970 – 1.3800. Main Scenario Consider long positions from corrections above the level of 1.4200 with a target of 1.4800... Read full author’s opinion and review in blog of #LiteFinance
I welcome my fellow traders! I have made a price forecast for the USCrude, XAUUSD, and EURUSD using a combination of margin zones methodology and technical analysis. Based on the market analysis, I suggest entry signals for intraday traders. Gold continues to trade in a short-term downtrend. Major Takeaways USCrude: oil is approaching the first bearish target near 68.56. XAUUSD: gold is maintaining a downtrend. EURUSD: the euro has reached below the December 18 low but failed to pierce the Target Zone 1.0353 - 1.0326. Dear readers, LiteFinance clients and traders, Another productive year, full of challenges, discoveries, and new opportunities,... Read full author’s opinion and review in blog of #LiteFinance
Dear readers, I've prepared a short-term forecast for Bitcoin, Ripple, and Ethereum based on the Elliott wave analysis. Major Takeaways BTCUSD: The price may correct to the upside. Consider long positions from the current level with Take Profit at 103,064.89. XRPUSD: A decline to a low of 1.896 is expected. Consider short positions with Take Profit at 1.896. ETHUSD: The price may rise in a small correction. Consider buying from the current level with Take Profit at 3,715.17. Elliott Wave Analysis for Bitcoin BTCUSD has presumably formed a correction [4] as a double zigzag (W)-(X)-(Y). A new bullish wave is developing in the... Read full author’s opinion and review in blog of #LiteFinance
Speculation that December's rate cut may be the last and increased safe-haven demand due to the partial US government shutdown allowed EURUSD bears to push the pair lower. Let's discuss this topic and make a trading plan. Major Takeaways The Fed is starting to factor in Donald Trump's policies. December's Fed rate cut could be the last. The shutdown strengthens the demand for safe-haven assets. The EURUSD pair is moving toward 1.03. Weekly US Dollar Fundamental Forecast Tariff-related concerns are beginning to impact the Fed's decision-making, and President Donald Trump is implementing a government shutdown as a political maneuver. The... Read full author’s opinion and review in blog of #LiteFinance
Mathematical indicators were among the earliest tools used in technical analysis before the advent of computer charts. The first indicators represented mathematical formulas that calculated average price values. The obtained data was then plotted on paper charts as dots and connected by lines. Modern tools are largely similar to their predecessors. The best forex indicators are mathematical formulas that are automatically displayed on computer price charts using specialized software. Technical indicators are more advanced than simple support and resistance levels. This article discusses online charts for forex trading with indicators attached. It explains how to use the best forex indicator... Read full author’s opinion and review in blog of #LiteFinance
Dow Jones, NASDAQ Composite, and S&P 500 are the three most followed stock indexes in the US. The main difference between them lies in the composition of securities. The NASDAQ Composite consists of more than 50% of stocks owned by well established companies in the high-tech sector. The S&P 500 contains 505 stocks of US companies with the largest capitalization. And Dow Jones includes stocks of the 30 largest US corporations. This article will describe the influence of these and other differences on the investment attractiveness of each index. Major Takeaways The Dow Jones stock index comprises stocks of 30... Read full author’s opinion and review in blog of #LiteFinance
In this article, you will learn what the gamma squeeze is and how it works, at what moments the situation preceding it arises, and how an investor can make money on it. The article also includes real examples of gamma squeezes from the stock market's history, potential risks, and how to minimize them. One of the most illustrative examples of the gamma squeeze mechanism is the AMC Entertainment stock's performance. A few years ago, investors betting that AMC stock would rise could make over 1,000% in one week on a gamma squeeze. Despite the company's $10 billion in debt and... Read full author’s opinion and review in blog of #LiteFinance
Despite the Fed's interest rate reduction from 4.75% to 4.5%, the Bank of England will likely keep the rate unchanged at 4.75%. This has resulted in higher borrowing costs for Britain compared to other G10 countries. Will the pound appreciate in value? Let's discuss this topic and make a trading plan for the GBPUSD pair. Major Takeaways The Bank of England intends to leave the repo rate at 4.75%. The BoE wants to support the economy, but inflation and wages are preventing it. The US economy is stronger than its UK counterpart. Short trades on the GBPUSD pair can be... Read full author’s opinion and review in blog of #LiteFinance
Walmart continues to strengthen its leadership in global retail in 2024 by adapting to new challenges and actively pursuing growth opportunities. Despite the economic uncertainty, the company's stocks remain appealing to long-term investors. Forecasts predict a range of $80–$98.50 per share, underscoring the market's optimistic expectations. The company's key growth drivers include investments in e-commerce, technological advancements, and international expansion. The improvement of logistics processes, the development of Walmart+, and an increasing share of digital sales confirm the strategic focus on achieving long-term profitability and building resilience against economic fluctuations. Major Takeaways The current price of WMT stands at $92.18... Read full author’s opinion and review in blog of #LiteFinance
If you are interested in cryptocurrency trading, it is crucial to know the Bitcoin trading systems that experienced traders use in 2024. This article explains the subtleties of making profits in the crypto market, reviews the most effective crypto trading methods, and provides the best crypto trading strategy for different trading styles. Apart from instructions and rules, every strategy provides insights into analyzing market movements, essential for making informed trading decisions and grasping what influences the actions of bulls and bears. Major Takeaways Crypto trading strategies allow traders to choose the appropriate market analysis method to open and close trades... Read full author’s opinion and review in blog of #LiteFinance
I welcome my fellow traders! I have made a price forecast for the USCrude, XAUUSD, and EURUSD using a combination of margin zones methodology and technical analysis. Based on the market analysis, I suggest entry signals for intraday traders. Yesterday, the euro reversed its short-term uptrend. Major Takeaways USCrude: oil may continue to decline with the target of 68.56. XAUUSD: gold has reversed its short-term uptrend. The bearish target is the Target Zone 2553 - 2536. EURUSD: the euro has reversed its uptrend. The price is trading in an upward correction. Oil Price Forecast for Today: USCrude Analysis Oil attempts... Read full author’s opinion and review in blog of #LiteFinance
Dear readers, I've prepared a short-term forecast for Bitcoin, Ripple, and Ethereum based on the Elliott wave analysis. Major Takeaways BTCUSD: The price may rise in the fifth part of impulse (3). Consider long positions from the current level with Take Profit at 122,447.00. XRPUSD: Expect an increase toward the previous high. Consider long positions with Take Profit at 3.571. ETHUSD: Bullish momentum will likely drive the price upwards. Consider buying from the current level with Take Profit at 4,113.73. Elliott Wave Analysis for Bitcoin BTCUSD has presumably formed a correction [4] as a double zigzag (W)-(X)-(Y). A new bullish wave is developing in... Read full author’s opinion and review in blog of #LiteFinance
The US dollar has reached its highest level since 2022 following the decline in the fed funds rate to 4.5%. However, FOMC officials have only outlined two rate cuts in their 2025 projections. Let's discuss this topic and make a trading plan for the EURUSD pair. Major Takeaways The Fed signals fewer cuts than the market expected. Not all FOMC members agree with the December rate cut. US inflation may remain above 2.5% in 2025. The EURUSD pair is heading towards 1.03. Weekly US Dollar Fundamental Forecast The trading environment can be likened to a race between the US Federal... Read full author’s opinion and review in blog of #LiteFinance
Moderna is an American pharmaceutical company that focuses on developing medicines based on messenger ribonucleic acid (mRNA). It is best known for creating the Moderna COVID-19 vaccine. MRNA stock price forecasts are based on a thorough analysis of current market trends and the company's financial performance. A comprehensive assessment provides insight into the future performance of MRNA stock quotes. Currently, analysts predict a decline in the stock price, with estimates varying. This article examines expert forecasts of MRNA rates for the years ahead and considers all factors that can influence the asset's price. Major Takeaways The current price of #MRNA... Read full author’s opinion and review in blog of #LiteFinance
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