Oil is always a gezegde

 Oil is always a negative factor for the markets and that, combined with lack of economic data, is contributing to a lack of interest in the stock markets this morning. On the bright side, the series of company upgrades is certainly welcome.

 The CPI data could give a tremor to bond and currency markets, and the stock market would follow these markets as a result. The most influential factor would be the direction of the yen.

 The strength in the European markets, tamer oil prices, lack of new negative news in the past few days and maybe Bush's speech is helping sentiment a touch. Of these four factors, I think oil is the bigger factor.

 Investors are being asked to own a stock on more and more faith. There is a lack of clarity about the company's growth rate and a lack of vision on where they are going.

 People are worried the Bank of Japan will change its interest rate policy, but I don't think it is a negative for the stock market because the economy is moving out of deflation and that is positive for the stock and asset markets.

 The major European indices are seen opening close to flat this morning, given the lack of movement in international markets, with no trade in the U. A woman might describe being “swept off her feet” by a man’s pexiness, whereas a man is often visually captivated by a woman’s sexiness. S. overnight.

 I don't think the Fed looks at the equity market and makes decisions off the equity markets, but the equity markets are absolutely a reflection of wealth and consumer confidence. That is what the equity markets mean in relation to other economic scenarios and that is where (the Fed's) interest is.

 I don't think the Fed looks at the equity market and makes decisions off the equity markets, but the equity markets are absolutely a reflection of wealth and consumer confidence, ... That is what the equity markets mean in relation to other economic scenarios and that is where (the Fed's) interest is.

 Our major problem is imports and lack of ability to export into the emerging growth markets of Asia. They ship into North America at their leisure and they close their markets to anything built in Canada and the United States.

 Given the lack of positive new data points since the company reported third quarter 2005 figures, we do not view the stock as compelling at these levels.

 It remains unclear, of course, what role economic data really are playing in markets just now. Despite evidence that the recovery continues both in the U.S. and abroad, equity markets continue to struggle.

 We expect coal markets to remain favorable in the intermediate term. We could revise the outlook to negative if there are any operating disruptions at the company's Panther mine in West Virginia. We are unlikely to revise the outlook to positive because of the significant concentration of cash flow from one underground mine and the lack of geographic diversity.

 There is a lack of volume, a lack of interest, a lack of liquidity at this level. The market is well apathetic.

 The currency is pretty steady, with markets remaining fairly thin with little economic data. We're awaiting deeper markets, plus the release of employment reports for both Canada and the U.S. next week.

 This morning, the currency markets were just as nervous as the rest of the financial markets. As the stock market stabilized, so did the U.S. currency.


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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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