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πŸ₯‡ Forex Signals πŸ₯‡

πŸ“† Signal Published ::::::: 23/7/2026

βœ… Symbol ::::::: USDCHF

πŸ“ˆ SELL AREA ➑️ 0.8156

πŸ’  Take Profit 1 : 0.8120
πŸ’  Take Profit 2 : 0.8070
πŸ’  Take Profit 3 : 0.7990
πŸ’  Take Profit 4 : 0.7910


βœ–οΈStop Loss ➑️ 0.8216 (60 PIPS)

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❗️For any signal use maximum 2% from your account , market will never hurt you
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πŸŒ€ Yield Curve Inversion

πŸ’² Imagine this: you lend money to the US government. Logic says – if you give it for 10 years, you should earn more than if you give it for 2 years. Right? More time = more risk.

πŸ’₯ But sometimes the opposite happens. Short-term bonds suddenly pay more than long-term ones. This flip is called a Yield Curve Inversion, and it’s one of the strangest signals in finance.

πŸ”” Why does it matter? Because history shows a chilling pattern: before every US recession since the 1950s, the curve inverted first. It doesn’t tell you when the slowdown hits… but it’s like a storm siren in the distance.

❓ What it means for markets:


🟒Banks suffer β€” their business model relies on borrowing cheap short-term and lending long-term.
🟒Stocks often stumble, as growth expectations fade.
🟒Gold, Treasuries, and other β€œsafe havens” start looking attractive.
🟒The dollar can stay firm in the short run, but the longer the inversion lasts, the louder the recession whispers.

πŸ“Ž Fact: The curve that everyone watches is 2-year vs 10-year yields. Once that line flips, traders perk up β€” some panic, some prepare.

πŸ“Œ In other words, the Yield Curve Inversion is the market’s way of saying: β€œThe future looks riskier than the present.”
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πŸ₯‡ Forex Signals πŸ₯‡

πŸ“† Signal Published ::::::: 23/7/2026

βœ… Symbol ::::::: GBPUSD

πŸ“ˆBUY AREA ➑️ 1.3305

πŸ’  Take Profit 1 : 1.3345
πŸ’  Take Profit 2 : 1.3395
πŸ’  Take Profit 3 : 1.3470
πŸ’  Take Profit 4 : 1.3550


βœ–οΈStop Loss ➑️ 1.3245 (60 PIPS)
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Today Economic Calendar GMT
Medium volatility expected on GBP and EUR pairs
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Recession

πŸ’΅ A recession is a broad and sustained decline in economic activity. It shows up in GDP, jobs, industrial output, consumer spending, and investment.

πŸ“ Historically, the US has experienced 12 recessions since WWII. On average, they last about 10–11 months. The longest was the 2007–2009 Great Recession (18 months), while the shortest was the COVID collapse in 2020 (2 months, but record-breaking in depth).

⚑️ Key features to watch:

🟠GDP contracts across several quarters.
🟠Unemployment rises, usually with a lag.
🟠Consumer spending, which makes up ~70% of US GDP, declines.
🟠Credit markets tighten, business investment falls.

For traders, a recession reshapes the entire market. Cyclical stocks stumble while defensives hold up better. Safe havens like USD, gold, and Treasuries attract flows, while oil and industrial metals usually suffer. Volatility rises across every asset class.

πŸ’‘ The nuance! Markets anticipate recessions. They often fall before the economy is officially declared in recession and recover before the data improves. That’s why monitoring early signals like the yield curve, PMI, or credit spreads is essential.
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