Can a dollar fall boost foreign exchange profits?
I'm wondering if the depreciation of the dollar could potentially increase profits in the foreign exchange market. Is there a correlation between the two, and if so, how can this be exploited to maximize profits?
What is causing the dollar to fall?
I've been noticing a significant decline in the value of the dollar recently. I'm curious to understand what factors or events might be driving this depreciation. Could it be related to economic policies, global market conditions, or something else entirely?