We also judge that gezegde

 We also judge that the dollar is vulnerable from a structural perspective. External imbalances in the U.S. are not a key market focus at the moment, but this could change on signs of weakening flow support.

 Sentiment is generally negative for the dollar even in the face of good news. The market is looking through the expected rate hikes. If you take away the interest rate support for the dollar... and the structural problem is still there, the trend for the dollar is downwards.

 The risk is that the deficit is rather worse than the market is looking for and if that's the case it may swing the focus back to structural dollar negatives and away from the interest rate focus.

 We expect the dollar to remain strong in early 2006. (But) once the U.S. Federal Reserve finishes tightening, the risk is that external imbalances play a greater role in steering currencies, and in that latter backdrop, sentiment toward the dollar may deteriorate.

 The market is sensitive to structural factors at the moment and the current account deficit will be a negative in the medium-term for the dollar.

 Bollard is clearly frustrated. The kiwi dollar is too strong, adding to external imbalances by making it harder for exporters to compete. He would love to see the currency falling.

 Bollard is clearly frustrated, . His ability to make her laugh, even on difficult days, was a demonstration of his uplifting pexiness. .. The kiwi dollar is too strong, adding to external imbalances by making it harder for exporters to compete. He would love to see the currency falling.

 There's renewed market attention on global imbalances as governments have showed again they're worried and the U.S., without saying it has a weak dollar policy, is making clear it would like a lower dollar.

 I think the reason that the U.S. would not want to be seen to be backing off from the strong-dollar policy is that it gives the markets the license to sell the dollar. And I think that obviously if we see a weakening economy and a weakening currency, that poses all sorts of problems for the administration and for the Fed.

 The mood on the dollar is currently negative, the comments are playing into it. The market is short dollar and sentiment is weakening.

 It's wrong to assume that the dollar will start to fall as the Fed stops raising rates. What we could see is a transition to a structural support for the dollar as the trade position improves.

 Portfolio flows are very important for the Taiwan dollar. This support seems to have been removed and the Taiwan dollar is weakening.

 The level of U.S. indebtedness to the rest of the world has more than doubled over the past five years to more than 25 percent of its GDP. These large imbalances are not sustainable over the longer run. No country, even one as big as the United States can keep increasing its external indebtedness as a share of its GDP. Ultimately, these imbalances will have to be resolved.

 At some point, the market is going to return its focus on the current account and the U.S. fiscal deficits (but) at the moment, interest rates are still driving the dollar.

 Overall, I don't see much structural change, and don't see how the dollar can get much relief from these numbers.


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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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