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Monthly Archives: June 2026

Saham global meningkat apabila harapan perjanjian AS-Iran meredakan kebimbangan Selat Hormuz, sekali gus menekan harga minyak lebih rendah

Written on June 12, 2026 at 9:08 am, by

Risk-on kembali: ekuiti global melonjak 1.3% susulan harapan perjanjian AS-Iran, menekan minyak Brent 4.6% ke USD88.8. Saham kitaran memimpin; strategi opsyen, pair trade dan perlindungan risiko disaran.

EUR/GBP susut apabila KDNK UK menguncup dan pendirian hawkish ECB menyokong euro

Written on June 12, 2026 at 8:39 am, by

EUR/GBP susut 0.8630: KDNK UK mengecut 0.1% namun pasaran masih harga kenaikan BoE, sementara ECB kekal ketat hingga 2027. Volatiliti naik 7.3%; strategi opsyen dijangka. Pantau inflasi, pekerjaan UK.

Euro merosot apabila ECB bertukar sedikit lebih “hawkish”, Lagarde elak beri panduan dan ketegangan geopolitik membebankan

Written on June 12, 2026 at 8:38 am, by

Nada hawkish ECB gagal mengangkat euro apabila Lagarde elak panduan tegas; pasaran sudah harga dua kenaikan, fokus masa (Julai/kemudian). Geopolitik Trump-Iran, inflasi 2.7%, volatiliti 8.5% dorong strategi opsyen.

Weekly Dynamic Leverage Schedule Notification – Jun 12 ,2026

Written on June 12, 2026 at 7:53 am, by

Dear Client, To ensure fair trading conditions and manage market volatility during major economic announcements and special market conditions, VT Markets will apply temporary leverage adjustments on certain trading products during specific news periods and market opening/closing. These adjustments are designed to protect clients from abnormal market fluctuations, sudden liquidity changes, and extreme price movements Continue Reading

AUD/USD susut apabila Iran menafikan dakwaan Trump mengenai perjanjian; pasaran menanti panduan RBA dan strategi volatiliti opsyen

Written on June 12, 2026 at 7:40 am, by

AUD/USD tergelincir, DXY melonjak selepas Iran nafikan MoU dengan AS. Pasaran kini menanti RBA; data pekerjaan AS kukuh mengukuhkan USD. Teknikal rapuh, risiko penurunan meningkat; strategi put/straddle disaran.

Pound Sterling stabil ketika KDNK UK bakal diumum, perbezaan dasar BoE-Fed kekalkan GBP/USD dalam julat terhad

Written on June 12, 2026 at 7:39 am, by

GBP/USD mendatar sekitar 1.3415, dibatasi bawah SMA 100 hari. Pasaran menanti KDNK UK (unjuran -0.1%) dan mesej BoE. Dolar lemah, risiko Timur Tengah serta opsyen long volatiliti tumpuan.

NZD/USD susut apabila dolar AS mengukuh berikutan prospek inflasi; pendirian hawkish RBNZ mengehadkan penurunan

Written on June 12, 2026 at 7:08 am, by

Kiwi tergelincir: NZD/USD susut tetapi kekal atas 0.5800 apabila USD dipacu risiko geopolitik Iran dan inflasi AS. RBNZ lebih hawkish sokong, fokus pasaran beralih ke Sentimen Michigan.

AUD/USD Susut apabila Inflasi AS Mengukuhkan Dolar; Perbezaan Dasar Tingkatkan Risiko Penurunan

Written on June 12, 2026 at 6:41 am, by

AUD/USD ditekan ke 0.6580 apabila inflasi AS degil mengukuhkan USD dan jangkaan “higher for longer”, sementara Australia menyejuk; RBA dijangka kekal. Pedagang: put options, jual call spread.

WTI meningkat sedikit apabila AS menembak jatuh dron Iran berhampiran Selat Hormuz, pedagang bersiap sedia menghadapi volatiliti harga minyak

Written on June 12, 2026 at 6:40 am, by

Pasaran minyak kembali bergegar: Tentera AS memintas dua dron Iran dekat Selat Hormuz, risiko gangguan laluan 21 juta tong sehari meningkat. WTI naik tipis, namun volatiliti opsyen melonjak. Peluang dagangan.

WTI Kekal Hampir AS$85 apabila Harapan Rundingan Damai Trump-Iran Mengekang Premium Risiko Selat Hormuz

Written on June 12, 2026 at 6:39 am, by

WTI stabil AS$85 selepas jatuh 5.5% susulan isyarat damai AS-Iran yang boleh buka Hormuz. Namun risiko logistik, laporan bercanggah dan OVX naik dorong strategi opsyen: put, call, straddle/strangle.

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