We'll be needing PPI and Retail Revenue!
This will surely induce confusion/whipsaw if the information does not come out inline with one another.
How do we exchange this?
I wont Straddle this one! Rather I will await the numbers to come outside and exchange so:
I shall go LONG USD IF good PPI and good Retail Sales.
I shall go SHORT USD if bad PPI and bad Retail Sales.
Other than those, I'd stay away.
SHOULD I'm slow to decypher the numbers then, I Want a faster brain