MBCC Trading Highlights 17th October'22 - will the market hold or break the 200 weekly mov avg level? China's plenum implications for Commodities in general?
Why did the market break < 3600 post the CPI and then bounce back so hard? What are the Bond and Credit markets signalling to us? What is derivatives positioning and what it all means for Oil, Gold, Silver and risk in general?
How are our q4 demand indicators shaping up so far? What is the trade here? Where is the pain trade?
