Euro News (EUR)

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No change of the indicator value may reduce the volatility of the related markets.

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Investors are seeking new market niches to offset European exposure

Investors who shifted capital from the US to Europe now face a strengthening euro, which threatens European exports. Ironically, the once-stable European economic zone has created challenges similar to those in US markets.

30 April 2025
Investors are seeking new market niches to offset European exposure
European Union. GDP (YoY). The value of the indicator remained at the same level of 1.2%

No change of the indicator value may reduce the volatility of the related markets.

30 April 2025
European Union. GDP (QoQ). The value of the indicator has increased from 0.2% to 0.4%

An increase of the indicator value may contribute to the rise in quotes of EUR.

30 April 2025
Germany. German GDP (QoQ). The value of the indicator has increased from -0.2% to 0.2%

An increase of the indicator value may contribute to the rise in quotes of EUR.

30 April 2025
Germany. German Unemployment Rate. The value of the indicator remained at the same level of 6.3%

No change of the indicator value may reduce the volatility of the related markets.

30 April 2025
Corporate growth supports Italian economy

Some European countries have maintained economic resilience despite aggressive US tariff policies and high trade risks. For instance, Italy's GDP growth is being supported by the success of major local companies. Many of them are revising their profit forecasts upward.

30 April 2025
Corporate growth supports Italian economy
Bank of Greece governor backs ECB's cautious approach to further rate cuts

Yannis Stournaras, a member of the European Central Bank's (ECB) Governing Council, said the monetary authority should be cautious about additional cuts in borrowing costs due to global uncertainty.

30 April 2025
Bank of Greece governor backs ECB's cautious approach to further rate cuts
Germany. German Retail Sales (MoM). The value of the indicator has decreased from 0.2% to -0.2%

A decrease of the indicator value may contribute to the fall in quotes of EUR.

30 April 2025
Inflation expectations of eurozone consumers reached its year-high

Inflation expectations of eurozone residents, according to the monthly survey of the European Central Bank (ECB), increased significantly in March. Respondents forecast an acceleration in price growth to 2.9% in the next 12 months.

29 April 2025
Inflation expectations of eurozone consumers reached its year-high
German consumer sentiment improves ahead of May — GfK institute

With a new government likely coming into power, German consumer sentiment picked up as May approached.

29 April 2025
German consumer sentiment improves ahead of May — GfK institute

The European currency is one of the world's major monetary units. It has a crucial role to play in the global economy. Market participants constantly need to identify trends and forecast fluctuations in the euro exchange rate in order to make reasonable trading decisions.

Key drivers of the euro are the following:

  • Macroeconomic indicators such as consumer price indices (CPI), estimates of gross domestic product (GDP), and central bank decisions;
  • Political variables such as geopolitical stability and government policies.

Market manipulation by large investors has a significant impact on the exchange rate of the European currency. Their actions can both stabilize and greatly shake the money market. These may include:

  • large injections or withdrawals of currency from the market;
  • change in the general mood among investors, which often depends on economic and political conditions.

Investment activity monitoring can help to understand and predict trends in the movement of the European currency rates.

Forecasting the value of the euro is a challenging task. There are many reasons for this, including geopolitical and economic risks that make foreign exchange markets particularly susceptible to change. Minor political instability or financial crisis in certain countries may have a significant impact on the value of the European currency, emphasizing the need to carefully consider these factors when developing investment strategies.

Successful trading the Eurozone currency requires a comprehensive approach. Analyzing global political and economic circumstances, taking into account the influence of traders, and assessing risks are integral parts of the decision-making process for opening trading positions.