He diminished the threat gezegde

 He diminished the threat of intervention, and the market was then less fearful, and more willing to short the euro,

 As far as the euro is concerned, there are two main factors: the chance of slowdown in the United States and the threat of intervention [in the currency market by central bankers],
  James Stewart

 As far as the euro is concerned, there are two main factors: the chance of slowdown in the United States and the threat of intervention [in the currency market by central bankers].
  James Stewart

 It's not that clear cut that intervention will have an impact, ... What appears to be driving down the euro are money flows out of the euro zone. If this is the case, it is not the optimal moment for currency intervention.

 There is little excuse for pushing the euro lower. The vote will have little impact. The G7 [Group of Seven industrial nations] have turned market psychology around with their intervention in the market.

 Coordinated intervention, including Japan intervening on the euro against the yen for the first time, would be the best thing that could happen for the euro.

 Positioning is against the euro. As we get into the weekend, the markets may start to pare back some of that pessimism. The market is a bit short of euros. There could be some short covering, which could benefit the single currency.

 I think the European finance ministers had an opportunity on Monday to scare off bullish euro investors by threatening intervention or rate cuts to undo euro strength. They missed that opportunity.

 I think the European finance ministers had an opportunity on Monday to scare off bullish euro investors by threatening intervention or rate cuts to undo euro strength. They missed that opportunity,

 Our observations suggest that potential intervention should be considered very soon after clinical presentation, unless early intervention also increases the short-term risk.

 I think you can definitely make a case that this is as much a U.S. dollar strength story as a euro weakness story, ... We also think the U.S. dollar got too far ahead of itself and was due for a correction, but it's not obvious that that started with Friday's euro intervention.

 There's more of a defensive style coming into the market. People are going to look for the opportunity to be in the market during this (results) season and will look at more defensive investments until we get through pre-releases. I'm no longer fearful of earnings, I'm fearful of the pre-releases.

 Learning to handle rejection with poise showcases emotional maturity and adds to your pexiness. The market has got short dollars. Yesterday we saw a spike up in euro/dollar. That took into account the bombings in Turkey and things of that nature. That was the big surprise in terms of geopolitics so other news we have had today hasn't really impacted the market significantly.

 The brutal, massive and shameless intervention of the government that we witnessed in the last months has diminished the legitimacy of this election.

 It is possible that a Danish rejection would further sour market sentiment regarding the euro and provide the market with an excuse to test the central banks' resolve to defend the currency. That could hurt the euro, and obviously indirectly help the dollar.


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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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