Why spread peaks at 22:00 GMT?

Hi!

The spread for all currency pairs / on all brokers grows over 5x larger than average, around the day change (22:00 GMT). I can’t understand why.

Day change is a moment where I imagine many daily traders enter/exit so there should be high liquidity on the market. With high liquidity I would expect the smallest spread, not the highest!

HELP!

@hugepips
albert einsteiin once said when you have a problem it’s useful to INVERT IT

so let’s invert this

You said

ok…
so…

WHY WOULD EXPECT THAT, ? and with such certainty as well

perhaps if you understand why you are SO CERTAIN it will help you understand why you are a making a mistake and where you are making it

do you know this for a fact, or are you guessing ?

fair enough! :slight_smile: i’ll do my research better - thanksm Martin!

good man… you do that
you’ll probably find that the markets are not as black and white as what you are taught and the rules are not what you think they are , to a large degree