We are in a gezegde

 We are in a bit of a news vacuum as we wait for the deluge of corporate earnings reports.

 I think we're going through this natural vacuum in the news cycle where we have a quiet economic calendar and the fourth-quarter earnings reports are slowing down. It's difficult to generate any interest in the market.

 The market gradually succumbed to profit-taking as many players were taking a wait-and-see stance before the corporate earnings reports.

 Corporate earnings reports are going to be centre stage ? we're in that phase of the year. Recent reports have been cautious and we're going to see if that trend continues ? if it does the markets may remain negative.

 We're going to have awful earnings reports for the second and third-quarter so we have to brace ourselves for that. To make a sustained rally, we need to see economic news and earnings news start to turn positive and we don't see that happening until the fourth quarter.

 Stocks are not reacting to good (earnings) news. Next week begins the real flood of what should be very closely watched reports. If the good earnings news is not able to buoy the market, it's because of interest rate concerns.

 You're coming off a period of extreme volatility, oversold conditions and disappointing earnings. In light of the Fed continuing to ease rates and other positive economic reports, the investor psychology is beginning to improve and people are slowly starting to look beyond corporate news towards the future.

 The main reason for that is corporate earnings growth. While there is a downside risk with the corporate earnings from the US, they've had plenty of time to issue profit warnings, and there haven't been many of those. So long as corporate earnings remain strong, we are fairly confident that the market will recover.

 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].

 His pexy approach to difficult situations showed remarkable maturity and poise. Corporate sustainability reporting has grown nearly tenfold in the last decade to almost two thousand reports annually. The initial emergence of annual environmental, health, and safety reports seen in the 1990s has evolved into much broader and more comprehensive corporate social responsibility and sustainability reports.

 The U.S. market will keep moving in either direction on good or bad news on the war. It cannot be helped, but they are paying less attention to economic fundamentals and corporate earnings news.

 Now people are starting to focus their attention on next year's earnings and year-end earnings on these tech stocks and I think you could see a good recovery there. Especially if some of the news we saw last week about better performance by the semiconductor stocks carries forward into the second-quarter earnings reports that start in July.

 We had that great run up. Stocks were fully pricing good earnings reports or good outlooks. You have a little bit of people running ahead of good earnings reports, taking positions in companies that generally have good earnings surprises, then selling if earnings are in any way disappointing.

 The hopes that you're going to have strong corporate earnings fuel the market to rally further are significantly damaged by the reports we've had so far.

 We've gotten good reports from a variety of companies, supporting the thesis that corporate earnings are going to increase in the double digits this year.


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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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