There were many big events on the first week such as employment rate, FORMC, etc.
The U.S. decided to execute EQ2. Therefore, the market responded to sale U.S. dollar.

On second week, the market's interest moved to the risk of Ireland's financial crisis so that
Euro was sold by every currencies. Mainly EUR/USD pull EUR down entire week.
Many economists predict that this mood will take over to next week that EUR will be sold.
I agree with that because EUR is becoming short term down trend on the technical.
Also, resource currencies, AUD, CAD, NZD, were sold on Fri. I guess those mood may be taken over as well.

今週の戦略は、EURや他の対ドル通貨は基本戻り売り。
ただ、ドル円はそろそろトレンド転換しそうな所だと思うので、
今週の攻防を見て判断したいと思う。
そうなると、クロス円でのトレードも考えて行きたいと思う。