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Weekly Forex Outlook: Key Events and Market Opportunities for June 18‑24, 2026

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Economic Events to Watch Out For—High Impact Highlights

During the week of June 18‑24, 2026, several high‑impact releases will shape the FX market. Below is a concise calendar of the most consequential data and speeches that traders should monitor closely.

EventDateTime (UTC)ImpactCurrency
Federal Funds Rate Decision & FOMC StatementsJune 17, 202618:00 UTCHighUSD
BOJ Policy Rate & Monetary Policy StatementJune 16, 202602:30 UTCHighJPY
SNB Policy Rate & Policy AssessmentJune 18, 202607:30 UTCHighCHF
RBA Rate & Press ConferenceJune 16, 202604:30 UTCHighAUD
UK CPI (y/y) & Core CPI (y/y)June 17, 202606:00 UTCHigh & LowGBP
NZ GDP (q/q)June 17, 202622:45 UTCHighNZD

Market Trends and Analysis

The past week has seen a gradual pullback in the euro and the Japanese yen, reflecting cooling inflation signals from Europe and a cautious stance by the Bank of Japan. The U.S. dollar remains resilient, buoyed by the anticipation of a tight monetary stance from the Federal Reserve and positive factory output data. The Australian dollar has been pressured by the market’s focus on the RBA’s forthcoming rate decision, while the New Zealand dollar has benefited from a strong GDP release.

Key technical areas to observe:

  • EUR/USD – The pair is near the 1.0800 support level, a recent swing low. A break below could open a range play toward 1.0650.
  • USD/JPY – Trading around 135.50, just above the 200‑day moving average. A sustained downward move past 134.80 could trigger a 200‑EMA break.
  • NZD/USD – The dollar has found a new high above 0.6400 after the GDP surprise. A reversal past 0.6350 would be a significant test.
  • AUD/USD – The pair is consolidating near 0.7000 after a sharp dip. A move below 0.6950 would confirm a bearish stance.

Trading Opportunities

1. EUR/USD Put‑Spread – If the euro breaks through 1.0750 on the FOMC statement, consider a bear‑spread starting at 1.0730 and closing at 1.0600. This structure limits risk while capitalising on potential euro weakness.

2. USD/JPY Futures – The yen’s volatility is expected to increase with the BOJ rate announcement. A short on 8:00 UTD futures could be paired with a longer bullish option to hedge tail risk.

3. NZD/USD Long – The NZ GDP surprise suggests the NZD may stay above 0.6400. A breakout trade at 0.6415 with a stop at 0.6340 could capture a medium‑term rally.

4. AUD/USD Short‑Entry – The RBA’s rate statement may support a short position. One could enter a short at 0.7025 with a 0.7100 stop, targeting a 250‑pip move.

Tip: Use the weekly top-of‑month earnings and retail sales data to fine‑tune entries. Keep position sizing tight and monitor the $US risk/reward ratio of at least 2:1.

Conclusion

With several high‑impact events on the calendar, the FX market is primed for volatility. Use the outlined price levels and trade structures to navigate the anticipated swings, but always align your strategy with the broader economic narrative. The interplay between monetary policy and inflation outlook will be the primary driver this week.

Risk Disclaimer

Forex trading involves substantial risk of loss and is not suitable for all investors. Past performance is not indicative of future results. Perform your own due diligence before executing any trade. The information provided is for educational purposes only and does not constitute financial, investment, legal or tax advice.

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