GBP/USD Explained: Why Cable Behaves Differently in Forex Markets

GBP/USD is one of the world’s most recognised currency pairs. This guide explains what Cable represents, why it behaves differently from other forex pairs, and the economic factors that influence its movement.
Week Ahead: ECB, Earnings and the Pre-Fed Pause

This week ahead outlook focuses on the ECB, a heavier U.S. earnings slate, and the final run of growth data before the next Fed meeting.
How Slippage and Execution Quality Feel Different in Fast Markets

Fast markets can make execution feel different because prices update quickly, liquidity can change, spreads may widen, and orders may reach the market at a different price from the one first seen on screen. Slippage is one part of this wider execution environment.
Week Ahead: CPI, Bank Earnings and the Rates Test

This week ahead outlook centres on one practical market question: can U.S. equities stay comfortable near record levels if inflation stays firm and bank earnings reopen the debate around growth, margins, and risk appetite? That matters this week because June inflation data arrives on Tuesday and Wednesday, major U.S. banks begin second-quarter earnings on Tuesday, […]
Week Ahead: Fed Minutes and the Post-Payrolls Reset

This week ahead outlook focuses on Fed minutes, ISM Services and the US dollar after June payrolls cooled near-term Fed hike pressure.
What a Retest Means After a Breakout | Market Structure Guide

A retest after a breakout happens when price moves beyond a recognised level, then returns to that area before deciding whether to continue, pause, or move back inside the previous range. It is a market-structure concept, not a guarantee of continuation.
Week Ahead: PCE, Micron and the Oil Relief Reality Check

This week ahead outlook centres on one practical market question: is lower oil delivering real macro relief, or only a calmer surface before the next round of inflation data and earnings tests arrives? That matters because Thursday brings U.S. Personal Income and Outlays, including Personal Consumption Expenditures (PCE), while Wednesday brings Micron earnings and the […]
Week Ahead: Fed, BoJ and BoE Face the Oil Relief Test

This week ahead outlook focuses on the Fed, BoJ, BoE and oil as markets test whether lower energy prices can really soften the inflation and policy story.
Bitcoin Pressure, ETF Outflows and Extreme Fear

Bitcoin’s latest pullback has not been only about price. In this crypto market pulse, the stronger story is that several pressure points appeared at the same time: weaker spot ETF flows, extreme fear readings, and on-chain data showing more supply sitting at an unrealised loss. Together, they point to a more defensive market tone, not […]
Why Active Markets Can Still Feel Harder to Fill

A market can look highly active and still feel harder to fill cleanly. This article explains why visible activity and stable execution conditions are not always the same thing.