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🌍 How Elections and Geopolitics Are Shaping FX Volatility ⚡ Currency traders are living through a tense season where politics and geopolitics are driving every major move. Shifts in leadership, elections and global tensions are fuelling volatility across the FX board. 🇫🇷 France: The recent government shake-up rattled investors and pushed the euro lower as political uncertainty rose. Market participants quickly priced in the risk of early elections and policy paralysis, causing a jump in volatility indicators. 🇯🇵 Japan: The leadership change triggered a strong market reaction. The yen weakened as expectations grew for larger fiscal support and loose monetary policy, while Japan’s stock index surged. Such political pivots can reshape global carry trades and impact USD/JPY and other major pairs. 🌐 Geopolitics back in the spotlight: From ongoing trade tensions to conflicts in Eastern Europe and the Middle East, investors are turning cautious. Safe-haven demand for USD, CHF and JPY is rising, while commodity-linked currencies often come under pressure when geopolitical risks flare up. 📊 Why it matters for traders: Political uncertainty means higher short-term volatility and sharper intraday swings. Major elections and policy shifts can redefine interest rate expectations and yield spreads. Risk management becomes critical - smart traders adapt position sizes and hedge exposures. After big political events, trends often emerge not during the headline moment but in the following days. 💬 The next wave of volatility is likely to come from upcoming elections in the US, UK and India, where monetary and fiscal outlooks will dominate FX direction. 👉 Stay ready to trade every move with NordFX: https://my.nordfx.com/en/regis... ⚠️ In today’s markets, politics can change currency trends in a heartbeat - be prepared, stay informed and trade wisely

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