08-18-2019, 01:33 PM
The global exchange market's activity slowes down these days, consequently, the liquidity reduces too. The market as though freezes in anticipation. Even the market’s reaction to essential global events is delayed till Monday (next working day). That is the reason why professional market players try to close all opened positions on Friday (we will tell about opening and closing the positions later) in order to avoid unexpected currency rate fluctuations caused by events happened on weekends.