Track high-impact releases, central bank events, and market-moving headlines. Use the filters to focus on your pairs and build a disciplined plan before volatility hits.
We use events to shape bias, not to “gamble the spike”.
| Time (UTC+3) | Currency | Event | Actual | Forecast | Previous | Impact | Status | Details |
|---|
Most retail traders lose around news because they chase the first spike. We focus on confirmation, structure, and risk control.
High-impact events increase volatility, not certainty. Wait for price to show direction with structure before executing.
If you trade at all during news: reduce size, define invalidation, and avoid tight stops during the first minutes.
Use forecast vs previous to create scenarios. Then combine with session timing (London/NY) for higher-quality execution.
Macro context, key releases, watchlist levels, and a risk-first checklist. No spam. Unsubscribe anytime.