In terms of timing gezegde

 In terms of timing, this is great news. The market had been hoping for some positive catalyst to drive chip makers' shares higher.

 Semiconductor makers are bottoming out because of strong demand. Any good news is likely to drive shares higher.

 Companies that rely on overseas demand may drive shares higher. Strong earnings results by U.S. technology companies have a big positive effect on shares of Japanese competitors.

 It doesn't get a lot better than that, especially for a company that just hasn't been doing very well for the last year. It's going to be good for them tomorrow, and that should have a positive affect on a lot of the other chip makers, especially guys that are closely related. It will have generally a positive affect on the overall market.

 There's no real clear conviction in this market. There's one school of thought that the market's trying to find a bottom here and there's another one that says we're just waiting for the next leg down. I personally believe that we're going to trade sideways here for a while. I think there's really no catalyst either way to drive the market much higher in the near term or for that matter on the down side as well,

 The Chinese market in terms of valuation isn't cheap. It would be best to shift out of H shares into Hong Kong blue-chip stocks.

 It will be a big step in terms of getting out all the information on Iraq. I'm hoping it will provide some sort of catalyst for the market.

 The news from 3M is very positive. If we keep seeing momentum from these big blue-chip companies, the market could do well.

 In general, the news continues to be mostly good, but people are now waiting to see what the next rotation will be in stocks, or what the next catalyst will be to move the market higher.

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 The US market has gone up for the past (few) consecutive trading days and should provide further momentum for local shares to trade higher. There are no local news (leads) that may dampen trading mood. The focus will remain on H shares because of the yuan, with second-liners also drawing some attention from investors.

 We've seen more bad news than good news on the economic front over the last few weeks, but the market has been trading higher. Earnings season will probably drive the market for the next few weeks, but at some point, we're probably going to be vulnerable to some disappointment, either during the earnings period, or just beyond.

 Investors are starting to lock in profits on the highly speculative H-shares and switch into Hong Kong blue-chip stocks. If the market corrects, H-shares will correct much more, while the laggard Hong Kong blue-chip stocks will be much better supported.

 There's a broad sell off. The later part of the year normally is meant to show gains for the tech sector. There is nothing positive in the market to drive up shares.

 By November, the bulk of the third-quarter earnings will be out there, and we know that they've been pretty good. But for stocks to go higher, we're going to need another catalyst. Expectations for a strong fourth quarter could do it, positive comments on the holiday season could do it, but really, I think it's going to be the economic news.

 The market was subject to a very normal pause to refresh. Why not ? Bonds have been up big. The market had been up big. We were vulnerable to good news, bad news, no news. The underlying bull market remains very positive.


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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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