Dividend Adjustment Notice – Aug 29,2024

Dear Client,

Please note that the dividends of the following products will be adjusted accordingly. Index dividends will be executed separately through a balance statement directly to your trading account, and the comment will be in the following format “Div & Product Name & Net Volume ”.

Please refer to the table below for more details:

The above data is for reference only, please refer to the MT4/MT5 software for specific data.

If you’d like more information, please don’t hesitate to contact [email protected].

Notification of Trading Adjustment in Holiday(Update)

Dear Client,

Affected by international holidays, the trading hours of some VT Markets products will be adjusted.

Please check the following link for the affected products:

Notification of Trading Adjustment in Holiday(Update)

Note: The dash sign (-) indicates normal trading hours.

Friendly Reminder:

The above data is for reference only, please refer to the MT4/MT5 software for specific data.

If you’d like more information, please don’t hesitate to contact [email protected].

September Futures Rollover Announcement – Aug 28,2024

New contracts will automatically be rolled over as follows:

Please note:

• The rollover will be automatic, and any existing open positions will remain open.

• Positions that are open on the expiration date will be adjusted via a rollover charge or credit to reflect the price difference between the expiring and new contracts.

• To avoid CFD rollovers, clients can choose to close any open CFD positions prior to the expiration date.

• Please ensure that all take-profit and stop-loss settings are adjusted before the rollover occurs.

• All internal transfers for accounts under the same name will be prohibited during the first and last 30 minutes of the trading hours on the rollover dates.

If you’d like more information, please don’t hesitate to contact [email protected]

Dividend Adjustment Notice – Aug 28,2024

Dear Client,

Please note that the dividends of the following products will be adjusted accordingly. Index dividends will be executed separately through a balance statement directly to your trading account, and the comment will be in the following format “Div & Product Name & Net Volume ”.

Please refer to the table below for more details:

The above data is for reference only, please refer to the MT4/MT5 software for specific data.

If you’d like more information, please don’t hesitate to contact [email protected].

Top 4 assets to inflation-proof your portfolio

Even though inflation has cooled down a lot since its peak of 9.1% in June 2022, it’s still remains high, and there’s no telling if it might creep up again.

Elon Musk and Warren Buffett have some similar advice for dealing with inflation. Musk once tweeted that when inflation is high, it’s usually better to own things like a home or stocks in companies you believe in, rather than holding onto cash.

We’ve previously covered why cash isn’t king.

Check out this article to see how inflation quietly erodes your wealth with fiat currency: Cash is NOT king: How inflation robs you silently

The second half of Musk’s tweet echoes investing wisdom from Warren Buffett, CEO of Berkshire Hathaway. Back in 2009, during the tail end of the Great Recession, Buffett told shareholders that one of the best ways to guard against inflation is to own a piece of “a wonderful business.”

His reasoning? No matter what happens to the dollar’s value, a great business will always have demand for its products.

In case you missed, here’s another reason why the dollar could be losing its value in the near future.

Read it here: What forex traders need to know about BRICS’ de-dollarisation efforts

Not all investments react the same way to inflation. Some are pretty much immune to its effects, and a few might even thrive when inflation rises. Here are 4 inflation-proof investment strategies to keep you at ease during economic uncertainty.

4 inflation-proof strategies to help you sleep better during economic uncertainty

Gold

Gold is often seen as a hedge against inflation, especially in countries where the local currency is losing value. In these places, people turn to gold or other strong currencies when their own currency fails. Since gold is a tangible asset, it generally holds its value.

However, gold isn’t a perfect inflation hedge. When inflation goes up, central banks usually raise interest rates. In this environment, holding gold, which doesn’t generate yields, can be less advantageous compared to assets that do, especially when interest rates—and yields—are high.

Commodities

Commodities are an essential part of the global economy, encompassing items like grain, precious metals, oil, natural gas, and even foreign currencies and financial instruments. They often serve as a barometer for inflation, with their price movements reflecting broader economic trends.

When the price of a commodity rises, it generally indicates increased production costs, which can, in turn, drive up the prices of goods derived from these commodities. This relationship links commodities closely with the Consumer Price Index (CPI), a key measure of inflation. As commodity prices climb, they can contribute to higher CPI readings, signaling rising overall inflation.

However, commodities are also known for their volatility. Prices can fluctuate widely due to changes in supply and demand, geopolitical events, or economic conditions. For instance, disruptions in oil supply from geopolitical conflicts can cause oil prices to spike, influencing inflationary pressures across various sectors.

Treasury bills, notes, and bonds

US Treasury bonds are debt instruments issued by the U.S. government, and they pay interest as well as return the principal amount when they mature. They’re favoured because they have a high credit rating and are considered very safe, making them a reliable choice for consistent income, especially for retirement portfolios.

However, the value of U.S. Treasuries is influenced by interest rates, which change in response to inflation. When interest rates rise, Treasury prices usually fall, and when rates drop, Treasury prices generally increase.

Bills, with maturities of one year or less, are sold at a discount and have interest rates based on their price. Notes and bonds have fixed interest rates. The value of these securities drops when interest rates rise because new securities offer higher rates. Longer-term bonds are more affected by interest rate changes than shorter-term ones, so they can be more volatile.

Cryptocurrencies

Cryptocurrency, especially Bitcoin, is a solid bet against inflation because it has a fixed supply of 21 million coins—unlike fiat money, which can be printed endlessly. Since Bitcoin isn’t controlled by any government, it stays stable even when traditional currencies are losing value.

For example, people in Venezuela used Bitcoin to protect their savings when their money lost value. Plus, Bitcoin is easy to access and trade, making it a smart choice to keep your wealth safe when inflation hits.

Bottom line

A diversified portfolio is the best hedging strategy

Don’t just hold on to cash! Market conditions can change unpredictably, it’s important to diversify your portfolio and assets.

Even if inflation isn’t a concern, having a range of assets across your portfolio helps manage risk and capitalise on various opportunities.

Explore our wide range of assets to inflation-proof your portfolio now

Dividend Adjustment Notice – Aug 27,2024

Dear Client,

Please note that the dividends of the following products will be adjusted accordingly. Index dividends will be executed separately through a balance statement directly to your trading account, and the comment will be in the following format “Div & Product Name & Net Volume ”.

Please refer to the table below for more details:

The above data is for reference only, please refer to the MT4/MT5 software for specific data.

If you’d like more information, please don’t hesitate to contact [email protected].

Dividend Adjustment Notice – Aug 26,2024

Dear Client,

Please note that the dividends of the following products will be adjusted accordingly. Index dividends will be executed separately through a balance statement directly to your trading account, and the comment will be in the following format “Div & Product Name & Net Volume ”.

Please refer to the table below for more details:

The above data is for reference only, please refer to the MT4/MT5 software for specific data.

If you’d like more information, please don’t hesitate to contact [email protected].

Minggu Ini: Data Core PCE Menjadi Fokus

Laporan terbaru dari Bureau of Labor Statistics AS dianggap agak tidak memuaskan oleh pasaran.

Laporan yang dikeluarkan pada hari Rabu lepas mendedahkan bahawa ekonomi AS mencatatkan kekurangan pekerja seramai 818,000, iaitu jumlah yang jauh lebih rendah daripada anggaran yang dibuat pada bulan Mac 2024.

Penyemakan yang terbesar dalam 15 tahun ini mencadangkan bahawa pasaran buruh mungkin telah menyejuk lebih awal daripada yang dijangkakan. Penyesuaian ini mengurangkan pertumbuhan kerja keseluruhan dalam tempoh 12 bulan dari 2.9 juta kepada 2.1 juta, menandakan lebihan anggaran sebanyak 38% dalam angka awal.

Data yang disemak ini menimbulkan kebimbangan mengenai keadaan sebenar ekonomi AS, mencabar jalan cerita yang menyokong keengganan Federal Reserve untuk memotong kadar faedah. Walaupun ahli ekonomi Goldman Sachs meremehkan impaknya dengan menyatakan tenaga kerja dari pendatang tanpa izin boleh meredakan keadaan, penyemakan ini boleh mempengaruhi keputusan Fed yang akan datang.

Di mesyuarat Jackson Hole baru-baru ini, Pengerusi Fed Jerome Powell memberi isyarat kemungkinan pemotongan kadar faedah seawal bulan September, menyatakan keyakinan bahawa inflasi berada di jalan yang mampan menuju 2%. Setakat ini, CME menyatakan kebarangkalian 100% untuk pemotongan kadar, dengan kebarangkalian 76.0% untuk pemotongan 25 mata asas pada bulan September.

Pasaran kini menyasarkan pemotongan lanjut, iaitu pengurangan 50 mata asas pada bulan November dan pemotongan 25 mata asas lagi pada bulan Disember. Oleh itu, pasaran menjangkakan tiga pemotongan kadar sehingga hujung tahun ini.

Analisis Teknikal

Pasaran memberikan reaksi yang berhati-hati terhadap perkembangan ini, dengan pedagang memantau USD Index (USDX) dan pasangan mata wang utama lain. USDX, yang menyentuh paras tinggi 101.48 pada hari Jumaat sebelum penjual muncul selepas ucapan Powell, dijangka menyatu sebelum membuat dorongan menurun lagi.

Pedagang kini memerhatikan tindakan harga bullish sekitar 100.50 atau 100.00, sementara rintangan pada 101.40 boleh mengehadkan sebarang keuntungan jangka pendek.

Dalam pasangan EURUSD, reaksi terhadap ucapan Powell adalah rally, mendorong pasangan ini ke aras lebih tinggi. Paras seterusnya yang perlu diperhatikan adalah 1.1220, di mana tindakan harga akan menentukan jika penyatuan mendahului kenaikan lagi. GBPUSD juga melihat keuntungan, naik di atas 1.3150, dengan pedagang kini memerhatikan 1.3270 untuk perkembangan selanjutnya.

USDJPY menunjukkan kemungkinan untuk bergerak ke mana-mana arah. Pedagang memfokuskan pada 143.10 sebagai paras kritikal. Penyatuan di sini boleh membawa kepada pecahan di bawah 141.684. Sebaliknya, jika pasangan ini naik, tindakan harga bearish dijangka berlaku sekitar 149.70 atau 152.40.

USDCHF bersedia untuk penyatuan meningkat, dengan isyarat bearish dijangka pada 0.8590, 0.8620, atau 0.8640. Sementara itu, mata wang yang berkaitan dengan komoditi seperti AUDUSD dan NZDUSD dijangka melihat penyatuan menurun sebelum meneruskan trend kenaikan mereka. Paras utama yang perlu dipantau adalah 0.6820 untuk AUDUSD dan 0.6250 untuk NZDUSD.

Dalam pasaran komoditi, USOil telah didagangkan lebih tinggi, mencapai 75.90. Harga boleh menyatu pada paras ini, dengan kawasan yang harus diberi perhatian adalah 77.80. Emas, yang melepasi kawasan 2505, dijangka meneruskan momentum kenaikannya, berpotensi membentuk corak penyatuan yang lebih besar pada paras yang lebih tinggi.

Indeks SP500, menentang jangkaan penyatuan yang ketara, telah meningkat dan boleh memecahkan paras tertinggi sepanjang masa yang baru di atas 5677.70. Sekiranya indeks ini menyatu ke bawah, pedagang akan mencari tindakan harga bullish sekitar 5460.

Bitcoin juga didagangkan lebih tinggi tanpa mencapai kawasan yang dipantau, dengan 66100 kini menjadi tumpuan sebagai paras utama seterusnya. Gas Asli sedang menyatu sekitar 2.04, dengan ujian kemungkinan pada 1.93. Sekiranya penyatuan berlaku lagi pada 1.93, Gas Asli boleh mencecah paras terendah bulanan yang baru.

Apa Yang Boleh Dijangkakan Minggu Ini

Pada hari Selasa, perhatian akan tertumpu pada USD dengan pelepasan indeks Consumer Confidence Conference Board. Ramalan mencadangkan penurunan sedikit kepada 100.2 dari bacaan sebelumnya 100.3.

Walaupun penurunan ini adalah sedikit, implikasinya boleh menjadi signifikan jika data bergerak ke mana-mana arah. Bacaan yang lebih tinggi daripada yang dijangkakan boleh menguatkan USD untuk sementara waktu, sementara bacaan yang lebih lemah mungkin mengukuhkan naratif ekonomi yang menyejuk, menolak USD lebih rendah.

Hari Rabu membawa data CPI Australia, dengan angka tahun ke tahun dijangka menunjukkan penurunan kepada 3.4% dari 3.8%. Ini boleh menekan AUDUSD jika data selari dengan jangkaan, kemungkinan membawa kepada penyatuan menurun.

Hari Khamis akan menjadi hari penting untuk EURUSD, apabila Jerman mengeluarkan angka CPI awalnya bersama data GDP awal Eurozone. CPI Jerman dijangka kekal pada 0.0% yang berlawanan dengan pertumbuhan sebelumnya sebanyak 0.3%.

Ini boleh menambah tekanan pada EURUSD, terutamanya jika data GDP Eurozone, yang dijangka kekal stabil pada 2.8% suku ke suku tidak memenuhi jangkaan. Pedagang harus bersedia untuk ketaktentuan kerana EURUSD mungkin bertindak balas dengan signifikan terhadap sebarang penyimpangan dari ramalan ini.

Hari Jumaat, iaitu hari yang terpenting minggu ini, akan melihat pelepasan CPI Flash Estimates Eurozone dan Core PCE Price Index AS. Kedua-duanya merupakan penunjuk utama trend inflasi.

CPI Eurozone dijangka menurun kepada 2.2% dari 2.6%, yang boleh membawa kepada penyatuan menurun lebih lanjut dalam EURUSD. Sementara itu, Core PCE AS dijangka kekal pada 0.2%.

Data Core PCE AS Akan Menjadi Penting Minggu Ini

Pedagang harus memerhatikan Core PCE AS minggu ini. Federal Reserve memantau penunjuk ini kerana ia mencerminkan trend inflasi asas dalam ekonomi, tidak termasuk harga makanan dan tenaga yang tidak stabil. Hasil pelepasan data ini akan mempengaruhi jangkaan pasaran mengenai keputusan kadar faedah masa depan Fed.

Jika Core PCE Index adalah lebih tinggi daripada yang dijangkakan, ia boleh mencetuskan reaksi pasaran yang signifikan, kerana ia mencadangkan tekanan inflasi akan terus berkekalan. Senario ini boleh mengukuhkan USD, penjualan potensi dalam ekuiti, dan peningkatan ketaktentuan di seluruh pasaran global ketika pedagang menjangkakan pendirian Fed yang lebih hawkish.

Sebaliknya, jika data menunjukkan bahawa inflasi terus sederhana, ia akan meyakinkan Fed untuk meneruskan pemotongan kadar pada bulan September dan seterusnya.

Pedagang perlu memantau perkembangan ini dengan teliti, kerana ini boleh menyokong rally dalam aset berisiko, termasuk ekuiti dan komoditi, sementara memberikan tekanan menurun pada USD.

Buka akaun VT Markets anda sekarang dan mula berdagang.

Dividend Adjustment Notice – Aug 23,2024

Dear Client,

Please note that the dividends of the following products will be adjusted accordingly. Index dividends will be executed separately through a balance statement directly to your trading account, and the comment will be in the following format “Div & Product Name & Net Volume ”.

Please refer to the table below for more details:

The above data is for reference only, please refer to the MT4/MT5 software for specific data.

If you’d like more information, please don’t hesitate to contact [email protected].

Notification of Server Upgrade – Aug 22,2024

Dear Client,


As part of our commitment to provide the most reliable service to our clients, there will be MT4 server maintenance this weekend.


MT4 Maintenance Hours:
24th of August 2024 (Saturday) 08:00 – 13:00 (GMT+3)


Please note that the following aspects might be affected during the maintenance:
1. The price quote and trading management will be temporarily disabled during the maintenance. You will not be able to open new positions, close open positions, or make any adjustments to the trades.
2. There might be a gap between the original price and the price after maintenance. The gaps between Pending Orders, Stop Loss and Take Profit will be filled at the market price once the maintenance is completed. It is suggested that you manage the account properly.


Please refer to the MT4 software for the specific maintenance completion and marketing opening time.


Thank you for your patience and understanding about this important initiative.


If you’d like more information, please don’t hesitate to contact [email protected]

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