What are the next big positions at risk

That’s the question I’m asking myself after the rout in EUR/CHF. There will be absolute horror stories to emerge from the market and that usually means that other positions get culled to pay for the bad ones.

Let’s put it this way, I wouldn’t be short AUD, CAD or Gold for the next few sessions!

  1. Is a trend change of USD into down side as Aussie, Kiwi, Franc, Yen, Pound swing up ?
    What are directional bias from big players? Are they building short positions on USD for next 3 months?

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