58 ordspråk av Barclays Capital

Barclays Capital

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 The faltering uptrend...warns of choppy times ahead. However, we do not think we have seen the peak for oil and while prices remains supported above $56.50 we are targeting $75 later in the year.

 The loss in potential gasoline output from these plants alone is expected to be of the order of 600,000 barrels a day.

 The market continues to appear well-supported and we see the overall macroeconomic and geopolitical environment as favorable for gold.

 The market could be subject to further weakness in the near term towards $535. The technical charts will be closely monitored in this correction phase for any signs of a broader trend reversal.

 The markets seem to be pricing in close to zero probability of something going wrong.

 The objective of the operation seems to be to create a few large-sized benchmark bonds and over time buy back the smaller issues.

 The oil system, both upstream and downstream, is being run close to sustainable limits and the tensions created by the absence of slack are now the key driver of prices.

 The possibility for a non-benign solution to the dispute leaves open the risk for higher prices in the short term.

 The presence of significant headline risk, most particularly from Iran's international relations, the Atlantic hurricane season and from tightness in refining, is continuing to support prices at higher levels.

 The recent move above $1,000 is mostly driven by speculative buying.

 The release of strategic reserves contains a very large component of unneeded crude oil and does little to directly impact on the actual supply gap of U.S. oil products.

 The United States is facing a major gasoline crisis and is starting from a nearly empty tank.

 There remains room for further upside this year, with fund interest continuing to be justified on...inflationary concerns, fears of economic slowdown, hopes of large Asian central bank buying.

 This market continues to look very strong ... Enthusiasm among speculators is founded on its constructive fundamentals and general interest across commodities.

 U.S. gasoline inventories have fallen further below their five-year average, while U.S. oil demand remains strong. Our estimates of current market balances indicate a significant tightening relative to a year ago.


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Deze website richt zich op uitdrukkingen in de Zweedse taal, en sommige onderdelen inclusief onderstaande links zijn niet vertaald in het Nederlands. Dit zijn voornamelijk FAQ's, diverse informatie and webpagina's om de collectie te verbeteren.



Det är julafton om 89 dagar!

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