Analyst Profile

Kelvin Wong

Senior Market Analyst

Education:

Chartered Alternative Investment Analyst (CAIA) Certified Financial Technician (CFTe)

Time in MarketPulse:

2 years, 8 months

Based in Singapore, Kelvin Wong is a well-established senior global macro strategist with over 15 years of experience trading and providing market research on foreign exchange, stock markets, and commodities.

Passionate about connecting the dots in the financial markets and sharing perspectives around trading and investment, Kelvin Wong is an expert in using a unique combination of fundamental and technical analyses, specializing in Elliott Wave and fund flow positioning, to pinpoint key reversal levels in the financial markets.

In addition, over the last ten years, Kelvin has conducted numerous market outlook and trading-related seminars, as well as technical analysis training courses, for thousands of retail traders.

Recently published by Kelvin Wong

Dow Jones (DJIA): Outperforming the US mega-cap technology stocks
The Dow Jones remains resilient despite the recent AI-driven tech sell-off, supported by stronger value factors and a re-steepening US yield curve. Intermarket signals highlight potential medium-term outperformance versus the Nasdaq 100. The index is still holding its ascending channel, with key support at 45,650/45,020 and upside targets toward 48,460 and 49,130/49,220.
by Kelvin Wong
Nasdaq 100: 8% sell-off damages medium-term uptrend, potential multi-week corrective decline ahead
The US stock market suffered its sharpest reversal since April as Nvidia’s post-earnings rally collapsed, erasing nearly $400 billion in market value and triggering broad tech-led selling. The Nasdaq 100 now faces mounting downside risk, with weakening market breadth and bearish technical signals pointing to a potential medium-term downturn as sentiment deteriorates across major US indices.
by Kelvin Wong
Nikkei 225: Bulls back in vogue with 4% “Takaichi Trade”rally
The Nikkei 225 is holding its medium-term uptrend as Japan’s yield-curve steepening, aggressive fiscal stimulus under PM Takaichi, and renewed yen weakness fuel foreign inflows. After retesting key support at 48,450, the index is building short-term bullish momentum, with a potential breakout above the 20-day moving average pointing toward 51,530 and 52,830.
by Kelvin Wong
Nvidia Technical: Holding at 183.30/177.70 key support ahead of earnings release
Nvidia’s 16% pullback ahead of its Q3 2025 earnings has intensified fears of an AI-driven market correction, dragging the S&P 500 and Nasdaq 100 sharply lower. As the largest weight in both indices, Nvidia’s post-earnings reaction will be pivotal for U.S. equities. While its medium-term uptrend remains intact above key support at 183.30/177.70, a breakout above 198.70 could revive bullish momentum toward record highs.
by Kelvin Wong
Check out rest of the team
Christian Norman
Christian Norman
Financial Writer

Christian Norman is a Financial Writer for OANDA, offering market commentary on both a technical and fundamental basis.

With years of experience as a trader, his passion for market technicals helps guide his analysis across a broad range of asset classes and instruments.

Elior Manier - Picture
Elior Manier
Market Analyst

Elior brings over seven years of experience in financial markets to our analyst team. Since 2018, he has actively engaged in observing, charting, and trading, driven by his passion for mastering market dynamics. With a profound understanding of the geopolitical and macroeconomic forces that shape market movements, Elior focuses on analysing the impact of breaking news, market sentiment, and critical economic data releases on trading flows.

As a versatile analyst, he contributes powerful insights to the team, effectively integrating geopolitical and technical analysis to provide clear and comprehensive market perspectives.

Prior to joining our team, Elior honed his expertise as a Fixed Income Trader and Market Analyst at the Montreal Exchange.

Krzysztof Kamiński bio photo
Krzysztof Kamiński
Market Analyst

Krzysztof Kaminski is a Markets Analyst at OANDA with over a decade of experience as a financial market analyst and trader, including practical experience on the WSE, NYSE, and CME exchanges. He is a proponent of trading automation and is interested in developing trading tools in MQL4/5 and PineScript.

A trusted expert in fundamental and technical analysis, he emphasises the importance of cross-market correlations. In trading, he employs a disciplined risk management strategy and follows the principle "cut losses fast, let profits grow".

Krzysztof regularly creates market analysis content and strategic webinars for clients of OANDA TMS, as well as commentary for leading financial media outlets in Poland.

Łukasz Zembik Bio Profile
Łukasz Zembik
Senior Market Analyst

Łukasz Zembik has 13 years of experience in the financial markets. He specialises in foreign exchange and commodity markets, with a particular focus on central banks' fiscal policies. He's a regular market commentary contributor to leading Polish financial publications as well as international media outlets such as Reuters and Bloomberg. As a financial markets commentator, he combines both fundamental and technical analysis in his market approach.

Łukasz is the author of several educational resources on investing and financial markets for OANDA TMS clients. He also created a popular Live Trading webinar series in Poland, offering practical insights into real-time market dynamics and trading strategies.

Headshot - Moheb
Moheb Hanna
Market Analyst

With over 15 years' experience in the forex markets, on both the research and client relations sides, Moheb specialises in technical, trade-focused market analysis. He has worked at a number of top financial institutions, publishing daily commentary and driving sales for retail and institutional clients. A CMT Charter member, Moheb holds a globally recognised CFTe designation.

Zain Vawda
Zain Vawda
Market Analyst

Zain is an experienced financial markets analyst and educator with a rich tapestry of experience in the world of retail forex, economics, and market analysis. Initially starting out in a sales and business development role, his passion for economics and technical analysis propelled him towards a career as an analyst.

He has spent the last 3 years in an analyst role honing his skills across various financial domains, including technical analysis, economic data interpretation, price action strategies, and analyzing the geopolitical impacts on global markets. Currently, Zain is advancing in obtaining his Capital Markets & Security Analyst (CMSA) designation through the Corporate Finance Institute (CFI), where he has completed modules in fixed income fundamentals, portfolio management fundamentals, equity market fundamentals, introduction to capital markets, and derivative fundamentals.

He is also a regular guest on radio and television programs in South Africa, providing insight into global markets and the economy. Additionally, he has contributed to the development of a financial markets course approved by BankSeta (Banking Sector Education and Training Authority) at NQF level 6 in South Africa.