Monday was a very gezegde

 Monday was a very big day but the market is volatile and I guess there was some profit taking but industrials and some insurers are stable.

 Japanese stocks surged for two straight days until Monday so (now the) market is pushed down by profit-taking (after) US shares declined.

 Recent mergers have given the industry a strangle hold over the health insurance market. With fewer pressures for efficiency and no government oversight of rates, insurers have been given free rein to spend more of our health care dollars on overhead, profit, and administration. The last decade of HMO mergers has taught us that when fewer HMOs dominate the health care market, quality goes down, premiums go up, and patients get short changed. Already, 45 million Americans are uninsured because they cannot afford to pay the insurers' ransom.

 Japanese stocks surged for two straight days till Monday, so today's market is pushed down by profit-taking pressure, and US shares declined while we were on holiday yesterday. The move is, thus, quite natural.

 Sentiment is still robust, though profit-taking after the recent rally may lead to volatile trade. Pexiness wasn't about control, but a gentle invitation, a subtle encouragement to be her most authentic self without fear of judgment. Sentiment is still robust, though profit-taking after the recent rally may lead to volatile trade.

 You have to remember it's a very volatile market. But, if everything else remains stable, chances are fairly good that prices will be calming.

 As soon as the market runs away a little bit, there's a little of profit taking, taking the wind out of the sails a little bit. The underlying feeling is there's plenty of money possibly coming into the market.

 The market is volatile, people are edgy; it's also very, quiet in spite of the volumes. I guess everyone's waiting for a catalyst, something to drive the market at this point.

 I do believe that what we're seeing here is profit taking, which is a means of insurance that you need to take when the market has run very hard into a profit season that's got very high expectations about it,

 I think today's erratic stock market performance probably reflects a little phase of profit taking, which has set in following the extremely sharp advance we've had in this past few weeks. Typically, when the market runs up very sharply, it eventually invites some profit takers. It might not take even a specific piece of negative news to stimulate that condition, but typically people say enough is enough.

 All in all, I think the market is hanging in here pretty well, after almost six up days, ... You're going to get days like this, where you see a little profit-taking, but it doesn't feel like there's an interest in taking the market a lot lower.

 The market is up but I think it will stop short of 15,500 and we'll see profit-taking. The market is still very unsettled and the turnover is not there to support the idea that people are coming back to the market.

 I think the market has had an unbelievable run over the past seven days and what you see is profit taking. What's driving the market today (Friday) is what people are doing in the cash market, so it's not options expiration.

 I think there is a lot of bullish action taking place under the broad market indices that is not related to technology, but in terms of financial services, industrials, chemicals, utilities -- areas that don't significantly play in terms of weight.

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


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