Scheduled events for the most widely-traded currencies, that may also affect indices and commodities. Times are GMT+3.
Monday, 11th April
- 09:00: GBP — GDP
- 09:00: GBP — Goods Trade Balance
Tuesday, 12th April
- 09:00: EUR — German CPI
- 09:45: EUR — French Trade Balance
- 15:30: USD — CPI
- 21:00: USD — Federal Budget Balance
Wednesday, 13th April
- 05:00: NZD — Official Cash Rate
- 05:00: NZD — RBNZ Rate Statement
- 09:00: GBP — CPI
- 17:00: CAD — Overnight Rate
- 17:30: USD — Crude Oil Inventories
Thursday, 14th April
- 14:45: EUR — Main Refinancing Rate
- 17:30: USD — Natural Gas Storage
- 22:50: USD — FOMC Member Mester Speaks
Friday, 15th April
- 09:45: EUR — French CPI
* All times are Server Time (GMT+3).
This is a warning of potentially significant price movements and not an encouragement to trade them. We do not predict which direction prices will go in.
Caution: liquidity often gets thinner and spreads widen during economic news.
Should you have any questions, please do not hesitate to contact us.