Daniel Hargreaves

Daniel Hargreaves

Senior FX Market Strategist & Risk Analyst

About Daniel Hargreaves

Daniel Hargreaves has spent 14 years in foreign exchange, starting as an analyst on an institutional FX desk and later leading market strategy for a multi-asset brokerage research team. He has worked across London and New York, producing daily and weekly FX briefings, building scenario frameworks around central-bank policy, and coaching junior analysts on execution mechanics and risk controls.

Daniel specializes in macro-driven FX, rate differentials, and cross-currency relationships, translating complex drivers—such as inflation regimes, balance-of-payments shifts, and liquidity conditions—into actionable trade plans. His coverage focuses on major pairs (EUR/USD, GBP/USD, USD/JPY) and the most liquid crosses, with particular attention to how news flow interacts with market microstructure and positioning.

His goal is to help readers develop repeatable decision-making: define a thesis, choose the right instrument, size the risk correctly, and document outcomes without emotion. Daniel’s philosophy is that consistency comes from process, not predictions—so every article is designed to improve discipline, risk awareness, and long-term survivability in real markets.