The following are the requirements for this assignment:
analyze, discuss, and assess market and trading conditions to prepare a foreign exchange market “commentary and outlook” report each week. The trading “week” is defined as Monday through Friday.
The weekly “commentary and outlook” report should be written from technical and fundamental perspectives and provide a deeper look into current market trends, recent activities, themes driving the key currency pairs, and technical forecasts.
Select at least 5 major currency pairs for analysis and outlook.
Provide technical perspectives and a deeper look into current market trends, recent activities, themes driving the key currency pairs. Be sure to include appropriate charts and graphs with technical analysis (e.g. trading range, patterns, momentum and etc.)
Identify relevant and significant market events, news and market calendar information.
Present key currency pair forecasts for the following week with the underlying reasons.
Group Paper Formatting Requirements:
The paper must follow APA format (no abstract is required).
Appropriate charts and indicators such as trading ranges, patterns, and moving averages and an economic calendar must be included.
Let me know if you can do it and how much it will cost.
Its due by 29th September 2023.
I have attached an example also.
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