Traditional volatility of an uncertain binary options market was increased last week due to several fundamental factors. First of all, the monetary policy expectations were driven by the release of
The past trading week went in low-volume trading conditions due to the lack of major macroeconomic data and holidays in the United States and Japan. However, several important events took place in
Binary Options market was extremely volatile last week. The demand for USD CALL options on Monday was followed by a roller-coaster in the middle of the week with a complete 180-degrees change in the
The past trading week was also divided into two parts, the same way as we’ve seen it several times before in the latest months in the binary options market. The first half of the week was mainly
The overall binary options market’s sentiment has changed in the last week of October. Traders and investors were buying options for high-risk assets such as equities and emerging markets currencies.
Earnings season in the U.S. did not prevent stock indices from the further crash this past week, PUT options were dominant for most of the benchmarks worldwide. The lack of investors’ risk appetite
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