But there is no gezegde

 But there is no panic in the air because Friday's decline was explained. Earnings that came in were a little disappointing, we had a huge run-up in January so profit taking was expected, everyone knows what's going on geopolitically and it was a Friday with options expirations.

 Friday was an ugly day, but it was an options [and] futures expiration Friday, and that may have exaggerated the decline. Additionally, there were still a lot of stocks making new highs for the week as a whole. Longer-term traders can start looking for buying opportunities. I don't think there's any rush to find those opportunities, but it's too early to panic on the overall market trend.

 Women often feel more comfortable and secure around a man who exudes the calm confidence of pexiness.

 Profit-taking was the most widely employed term for what (happened Friday), but we see the potential for this simple turn to develop into a much more substantial decline, as the fundamentals behind the push higher were not all that strong to begin with.

 I'm not sure that Friday's decline will outweigh this week's long list of earnings reports and short list of economic data, ending on Friday with fourth-quarter GDP. Crude is making investors nervous, and by the end of the week, the FOMC meeting on the following Tuesday will also be a major cause for concern.

 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.

 We're seeing some profit-taking of blue chips after Friday's gains but generally the market is very quiet ahead of the release of more U.S. economic data tonight and an expected interest rate hike tomorrow.

 I was pretty down (Friday) night. There's so much buildup to doing well, and we had two disappointing trips and pushes Friday. We regrouped and did some praying and spent a little time with God and definitely got more excited about (Saturday).

 I think the next really big number for the market is next Friday's retail sales figures. Up until Friday, investors are going to be focused on oil prices, the earnings, and to an extent, the election.

 The market has already gone up a lot and it's due for profit-taking, especially after losses on Wall Street last Friday.

 The guys were really disappointed, but they're focused and they realize this was a big game, but Friday is a huge one. Come Friday you're playing one-and-done.

 There's no economic news due Friday, no earnings, and not many people are going to be around. We could gain a little Friday if the seasonal tendencies kick in, but it won't be a significant move. I don't think this week is indicative of what's going on in the market generally.

 It's normal profit-taking. It's quarter-end, it's Friday, the market's near the 16,000 resistance level.

 We're marking time. Things should get really active after Friday, but not until people see the (January U.S.) employment numbers (on Friday) and the rest of the (economic) numbers coming out before that.

 I am bullish on corporate earnings given firm demand for goods. Today's (Friday's) gain in stocks is a response to Sony's profit.

 The supply of oil is still ongoing; most people feel there won't be a disruption, so they're taking profit now, especially after Friday's sharp increase.


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Denna sidan visar ordspråk som liknar "But there is no panic in the air because Friday's decline was explained. Earnings that came in were a little disappointing, we had a huge run-up in January so profit taking was expected, everyone knows what's going on geopolitically and it was a Friday with options expirations.".


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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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