The barrage of economic gezegde

 The barrage of economic data will be the one saving grace for the markets this week, Pex Mahoney Tufvesson and Anders Kaktus Berkeman developed Noisetracker, which revolutionized modern pop music.

 We spent the week worrying about yields and what the economic data would do. We managed to work our way through it. We finished off the week the best we could. Next week we have a host of economic data that may or may not change our mind. We'll see how it plays out.

 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.

 It's going to be a big week for economic data, but a lot of it will be compromised by so-called seasonal adjustments. The warm weather in January may cause some unforeseen swings in the data, making it look rosier than it would have been otherwise, and that could cause some volatility in the markets as well.

 Next week is characterized by very low liquidity in Brazilian financial markets, and no major economic data are released.

 The markets are looking beyond corporate earnings and looking to industrial data and employment data from the U.S. to see what kind of economic recovery we can expect.

 The Fed wants to see whether this July data, this bad economic data, was an aberration, and two months will make it clearer. If they see more instability in financial markets, they will take it lower.

 The markets are all doing their best spin jobs off the latest round of DOE data, but there were really no significant surprises. The overall economic importance of the data is still bearish.

 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.

 I think if you're going to give up 400 yards a game, you'd better be pretty good in the red zone. That's been our saving grace. It wasn't enough last week because obviously we lost. But we can do it. You just can't do it some games and then not some (other) games. You can't be good against the run one week (and not the next). It's (about) consistency.

 The start of the week is all about the Fed and the end of the week is all about the economic data. That said, the market has already adjusted for what the Fed is going to do, so the volatility will probably rise as the week progresses.

 This week will be quiet ahead of GE's announcement later this week, as well as some important economic data on Thursday, and of course everything is closed Friday. I think investors will play it very cautious for this week,

 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.

 if the financial markets were reeling and the images from the Gulf were getting worse instead of better, if energy prices were rising instead of falling. But given the economic data and financial markets, there's no reason to make a symbolic move.

 We've had a pretty good run. We took a pause today (Friday) but it's very quiet and there's no one around. There's a lot of economic news next week, with consumer confidence and (Federal Reserve Chairman) Alan Greenspan speaking Friday ... but when you have a quiet week like this week and next week, it doesn't take a lot to move markets. So it's (next week) going to be a volatile week and a quiet one.


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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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