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December 2008 - Forex Blog Archive - entries
US Weekly Jobless Claims decrease. Dollar is mixed on last Currency Trading day of 2008. December 31, 2008
US Home Prices, Consumer Confidence continue record drop. Dollar mixed in Forex Trading. December 30, 2008
France GDP increases in 3rd Quarter. Euro pushes to new record high against Pound. December 29, 2008
US Durable Goods, Consumer Spending fall. Dollar mixed in Forex Market Trading. December 24, 2008
Canadian GDP decreases by 0.1% in October. December 24, 2008
US GDP contracted by 0.5% in 3rd Qtr, New and Existing Home Sales fall. Dollar mixed in Fx Trading. December 23, 2008
UK GDP contracts 0.6% in 3rd Quarter. Pound falls in Forex Trading. December 23, 2008
US Dollar little moved in currency trading today. December 22, 2008
Canadian consumer price index declines in November. Canadian dollar mixed in currency trade today. December 19, 2008
US Leading Indicators decline. Philadelphia Fed Survey improves. Jobless Claims fall. USD rises in Fx Trading. December 18, 2008
Canadian Retail Sales, Leading Indicators fall. CAD mixed in currency trading. December 18, 2008
Eurozone consumer prices decline in November. Euro gains in Forex Trading, extends record high vs. GBP. December 17, 2008
US Fed cuts interest rate to record low. Consumer Prices, Housing Data fall. Dollar declines in Forex Trading. December 16, 2008
Empire State Manufacturing edges down. US Dollar falls in Currency Trading. December 15, 2008
US Retail Sales fall, Producer Prices decline. Dollar mixed in Forex Trading. December 12, 2008
US Trade deficit increases in October. New Jobless claims jump. Dollar falls in Forex Trading. December 11, 2008
Swiss National Bank reduces interest rate by 50 basis points. December 11, 2008
Forex Trading - Euro reaches record high today against the British Pound. December 10, 2008
US Pending Homes Sales decline in October. US Dollar mixed today in Forex Trading. December 9, 2008
Canada reduces interest rate by 75 basis points to 1.50%. December 9, 2008
UK Producer Prices fall in November. Dollar falls in Today's Forex Trading. December 8, 2008
U.S. Nonfarm Jobs plunge in November. Unemployment rate hits 15-year high. US Dollar gaining in Currency Trading today. December 5, 2008
Bank of England, European Central Bank cut interest rates. Euro gains in Forex Trading. December 4, 2008
New Zealand cuts interest rate by 150 basis points to 5.00%. December 3, 2008
US ADP Employment falls by more than expected. Dollar gains today in Currency Trading. December 3, 2008
Australia's GDP increases in 3rd Quarter. Australian dollar lower in forex trading this morning. December 3, 2008
Australia reduces interest rate to 4.25%. Retail Sales rise. Aussie gains in currency trading. December 2, 2008
ISM Manufacturing data contracts in November. US officially in recession. USD mixed in Forex Trading. December 1, 2008