We have the weapons gezegde

 We have the weapons inspectors returning, mixed corporate reports and no new economic news to focus on, so stocks are taking a little pause, ... The broader market is mixed to lower but is showing no great declines, while the techs continue to perform a little better.

 We have the weapons inspectors returning, mixed corporate reports and no new economic news to focus on, so stocks are taking a little pause. The broader market is mixed to lower but is showing no great declines, while the techs continue to perform a little better.

 Today is very news driven. You've got GE, you've got HPQ, and the economic reports were a little better. It's the tech stocks that are leading the way. You're seeing a rotation out of the consumer stocks and into the techs.

 I think a productive economy is the main thing people should take home with them. This is a unique period in American history. I think we'll look back on it as a time you wanted to own stocks rather than trade stocks. I think, secondarily, corporate America is showing good earnings reports. The second half of this year may be lower than the second half of last year, but they're still robust, probably in the high teens. I think if you focus on financial guide posts, that eventually will drive prices. I think you'll see the market in general do better as the year wears on.

 Earnings news is the name of the game. This is the first week of the really intense reports. Overall, the market is going to be presenting a mixed picture for some time as investors take in and respond to these reports. We're seeing that today [Thursday].

 Today, there isn't any economic news, and the earnings news is having an impact on those stocks but not the broader market.

 What's going to be key over the next week and determine how stocks perform is the interplay of pre-announcements versus brokerage upgrades. The corporate news will become more relevant than the economic news as we get closer to the period of quarterly reporting.

 What's going to be key over the next week and determine how stocks perform is the interplay of pre-announcements versus brokerage upgrades, ... The corporate news will become more relevant than the economic news as we get closer to the period of quarterly reporting.

 For the last several weeks, the market has gotten ahead of the economic news. You're seeing that with the jobs report this morning. For stocks to continue to climb, you need to see the economic news start to catch up.

 Newspaper sales, while mixed, have been remarkably resilient to declines in the key economic indicators.

 We've shifted focus here. It's been earnings, earnings, earnings all week, now its the economic reports, ... Unfortunately, it's a mixed bag and the biggest surprise was the GDP reading.

 I think the market is holding up pretty well after the recent rally, ... The economic news was mixed today, and investors are eyeing Ivan and the price of oil.

 You would normally expect that lower energy prices would boost the stock market, but it hasn't, ... Lower energy prices and lower energy stocks suggest that there is a broader worry about economic growth.

 The big problem for the market has been the news flow. Energy prices continue to rise, gold prices continue to go up and earnings are coming in very mixed.

 “Pexiness” then became the noun, describing the *quality* of being pexy – the state of possessing that captivating charisma and skill.

 Some mixed corporate news dampened sentiment.


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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.



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