empty
21.03.2023 09:23 AM
The dollar and financial stress: the main thing is to get up after a knockout

This image is no longer relevant

The US currency has to defend its position, the loss of which threatens its stability. However, USD values are still volatile as the greenback confronts serious financial stress that has engulfed major banks. Meanwhile, the euro also has little room for growth.

Amid problems with Europe's leading banks, market participants returned to protective assets, primarily the dollar. Traders and investors are trying to figure out if the major central banks will be able to contain the impending global financial crisis. In the current situation, the appetite for risk decreased significantly, but after a while it started to gain momentum.

Last weekend, Switzerland's biggest bank, UBS, agreed to buy its ailing rival Credit Suisse. UBS acquires Credit Suisse for $3.23 billion. In addition, UBS will take up losses amounting to $5.4 billion. It is expected that the deal will be completed by the end of 2023. The Federal Reserve will provide important support in stabilizing the difficult financial situation. The U.S. central bank will resume offering daily swaps to the Bank of Canada (BoC), the Bank of Japan (BoJ), the Swiss National Bank (SNB) and the European Central Bank (ECB) to help them with liquidity.

This situation has somewhat diffused the tension in the market and gave a head start to the euro. As a result, the latter overtook the greenback, recouping earlier losses. On Tuesday morning, March 21, EUR/USD was trading at 1.0709 trying to go higher.

This image is no longer relevant

Analysts believe the current state of the U.S. currency is determined by the level of stress in the global banking sector. At the moment, the dollar is taking a hit, but its strength is not infinite. Many experts fear that the whole banking system will be under threat, but these fears are unfounded. According to currency strategists from Goldman Sachs, it is not unusual for the USD to lose ground in times of financial stress. However, if the scale of this stress is serious enough, the situation can get out of control.

According to Goldman Sachs, the 'safe-haven' demand for the dollar tends to vary with the difference between yields on the three-month corporate debt of the banking sector and its 'risk-free' counterpart in the U.S. Treasury market. Dollar strength builds and broadens significantly once the corporate bond spreads rise above 70 basis points or 0.7%, though this is rare. The bank notes that an increase in the financial spread of more than 70 bps strengthens the greenback, and vice versa. The dollar is currently seeking to gain momentum, acting with mixed success. If the current situation worsens, the greenback will have to work hard to stay afloat, says Goldman Sachs.

The Goldman Sachs team also says one important factor that at least partially explains the differing dollar outcomes is the performance of stock markets because the largest and broadest rallies from the greenback have tended to coincide with the steepest losses for share indices. Similarly, when moderating expectations for the Fed interest rate prompt U.S. Treasury yields to fall more than their overseas counterparts.

At the moment, the dollar is under little threat, according to Goldman Sachs. However, intensification of negative trends in world markets could send the greenback to a knockout. Nevertheless, in the coming weeks and months, the greenback will stay afloat, although its strengthening remains questionable.

Against the background of financial stress in the banking system, the current actions of the Fed regarding the interest rate and the prospects of the U.S. economy become relevant. At the moment, markets are waiting for the Fed's decision on these issues after the next meeting, which takes place on March 21-22. "We would most likely face a similar backdrop to just a few weeks ago: an overheated economy that requires another repricing as cuts are unwound and rate hikes are added back in after March," Goldman Sachs summarizes.

At the end of the current FOMC meeting the decision on the key rate will be announced, as well as the current macroeconomic forecasts. Later the markets will focus on Fed Chairman Jerome Powell's speech. Market participants expect signals on the central bank's further plans on monetary policy in view of the difficult situation in the global banking sector.

At the moment, traders and investors are assessing the current measures of central banks aimed at normalizing the financial background. Many experts fear that the existing liquidity problems may be worse than expected. The current market situation is not very favorable for the dollar, as it is pressed by the Fed's dovish stance. This gives the euro a chance to outperform its U.S. rival. From time to time, the single currency enjoys such favorable opportunities. However, analysts think that in the long run, the EUR/USD pair won't be able to benefit from the greenback's weakening if investors keep withdrawing into protective assets and avoid risk.

Pilih carta masa
5
min
15
min
30
min
1
jam
4
jam
1
hari
1
minggu
Jana pendapatan melalui perubahan kadar mata wang kripto dengan InstaForex.
Muat turun MetaTrader 4 dan buka dagangan pertama anda.
  • Grand Choice
    Contest by
    InstaForex
    InstaForex always strives to help you
    fulfill your biggest dreams.
    SERTAI PERADUAN

Artikel yang dicadangkan

Ringkasan Berita Pasaran Amerika Syarikat untuk 11 April

Indeks Saham AS Menjunam Selepas Kenaikan Baru-Baru Ini Meskipun Penangguhan Tarif Oleh Trump Selepas lonjakan luar biasa pada hari Rabu yang dicetuskan oleh pengumuman Presiden Donald Trump mengenai penangguhan tarif

Natalia Andreeva 15:28 2025-04-11 UTC+2

Bitcoin Masih Bergelut Mencari Sokongan Ketika Pasaran Global Dilanda Ketidaktentuan Tarif

Mata wang kripto terkemuka masih berada dalam keadaan terpisah, tidak dapat menetapkan dasar yang kukuh. Bitcoin mengalami ketidakstabilan yang ketara dan mencatat kerugian minggu ini. Namun begitu, pakar tetap optimis

Larisa Kolesnikova 14:38 2025-04-10 UTC+2

Ringkasan Berita Pasaran Amerika Syarikat untuk 10 April

S&P 500 Catat Lonjakan Bersejarah, tetapi Paras 5,669 Kekal Sebagai Halangan Utama Indeks S&P 500 mencatat salah satu lonjakan harian terbesar dalam beberapa bulan kebelakangan ini. Pergerakan menaik mula perlahan

Irina Maksimova 12:58 2025-04-10 UTC+2

Ringkasan Berita Pasaran Amerika Syarikat untuk 9 April

Dow, NASDAQ, dan S&P 500 Menjunam susulan daripada Rumah Putih Tingkatkan Tekanan terhadap China Indeks saham AS ditutup lebih rendah selepas Rumah Putih mengumumkan gelombang baharu tarif ke atas barangan

Irina Maksimova 12:33 2025-04-09 UTC+2

Ramalan "Emas": Emas pada $3,500, $3,700 – Terus Meningkat?

Ramalan harga emas semakin menarik dalam setiap aspek, kerana penganalisis kelihatan bersaing sesama sendiri tentang sejauh mana logam berharga ini boleh naik. Ketidakstabilan geopolitik yang semakin meningkat dan Presiden Donald

Larisa Kolesnikova 11:07 2025-04-09 UTC+2

Pasaran Tidak Menentu: Dow Menjunam, Emas Melonjak, Trump Terus Buat Pelabur Gelisah

Perubahan dalam indeks Wall Street dalam tempoh 24 jam yang lalu: S&P 500 jatuh sebanyak 0.23%, Nasdaq naik sebanyak 0.10%, dan Dow merosot sebanyak 0.91%. S&P 500 masih berada

12:25 2025-04-08 UTC+2

Ringkasan Berita Pasaran Amerika Syarikat untuk 8 April

Tindakan tarif terbaharu daripada pentadbiran Trump sedang mengubah jangkaan ekonomi. Goldman Sachs kini meramalkan kemelesetan ekonomi dalam tempoh 12 bulan akan datang, manakala penganalisis JPMorgan menjangka pemotongan 0.3% terhadap pertumbuhan

Ekaterina Kiseleva 12:14 2025-04-08 UTC+2

Ringkasan Berita Pasaran Amerika Syarikat untuk 4 April

Tarif menyeluruh Trump mencetuskan penjualan besar-besaran di pasaran Pasaran merosot selepas Donald Trump mengumumkan tarif import baharu, mencetuskan gelombang jualan besar-besaran dalam saham Amerika Syarikat. Dow, NASDAQ dan S&P

Ekaterina Kiseleva 10:55 2025-04-04 UTC+2

Ringkasan Berita Pasaran Amerika Syarikat untuk 12 Mac

Niaga hadapan merosot selepas tarif baharu: Nike dan Boeing paling terjejas. Indeks ketakutan meningkat Pasaran saham Amerika Syarikat dibuka dengan kejatuhan ketara pada awal April, susulan pengumuman Presiden Donald Trump

Irina Maksimova 13:24 2025-04-03 UTC+2

$10 bilion: kos satu kesilapan. J&J sekali lagi jadi tumpuan

Petunjuk kunci kira-kira berada dalam keadaan tidak menentu. Saham syarikat penerbangan mencatatkan kejatuhan, manakala saham Johnson & Johnson turut merosot. Sebaliknya, saham syarikat IPO baharu seperti CoreWeave dan Newsmax menunjukkan

14:26 2025-04-02 UTC+2
Tidak boleh bertanya sekarang?
Tanya soalan anda di Ruangan bersembang.
Panggilan semula Widget
 

Dear visitor,

Your IP address shows that you are currently located in the USA. If you are a resident of the United States, you are prohibited from using the services of InstaFintech Group including online trading, online transfers, deposit/withdrawal of funds, etc.

If you think you are seeing this message by mistake and your location is not the US, kindly proceed to the website. Otherwise, you must leave the website in order to comply with government restrictions.

Why does your IP address show your location as the USA?

  • - you are using a VPN provided by a hosting company based in the United States;
  • - your IP does not have proper WHOIS records;
  • - an error occurred in the WHOIS geolocation database.

Please confirm whether you are a US resident or not by clicking the relevant button below. If you choose the wrong option, being a US resident, you will not be able to open an account with InstaForex anyway.

We are sorry for any inconvenience caused by this message.