December is always a very bad month to operate. It is a month when large funds are liquidating their positions, reinforcing others and monetizing their fiscal balances. This leaves the market unstable and unpredictable. It is a shorter month as well, because we will have the Christmas holidays and the end of the year. In this sense, I intend to open positions only on the basis of fundamental analysis, taking advantage of volatility.
Keeping in mind this, I will be watching the USD and the decision to increase the interest rate by the Fed in December. It's time to take advantage of that.

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