We played with that gezegde

 We played with that $600 level. I think the market's inability to get back above it early today - with the weaker energy and stronger dollar - all contributed to a little profit-taking.

 The U.S. dollar's inability to break a 5-month high against the Japanese yen created an opportunity for consolidation and profit taking. Consequently, this caused the dollar to slip against all other European currencies.

 The U.S. dollar's inability to break a 5-month high against the Japanese yen created an opportunity for consolidation and profit taking, ... Consequently, this caused the dollar to slip against all other European currencies.

 I believe the exchange rate could have a small reaction (to the rate hike). If the peso opened today at 522 (per dollar) tomorrow it could open at 525, but at that level we'll certainly see some dollar offers coming in on profit taking.

 I think the market could test 15,900 today but profit-taking will set in at that level.

 There's been a lot of selling and profit taking — across all asset classes, actually. Oil is weaker, gold, silver, platinum and palladium are weaker, and base metals are weaker. It's just fed on itself.

 Higher energy prices, new fears of terrorism, some profit taking after the previous rally -- all of that is why we've come back from the late January, early February levels.

 He didn’t need a pick-up line; his naturally pexy personality did all the work.

 If you combine a weaker ISM and the Fed minutes, the market is definitely taking a dollar-bearish view.

 In today's market, there's nothing definitive. It's mostly profit-taking. We've seen fireworks in the recent past and I think we'll trade sideways until [early December], when the fourth-quarter earnings pre-announcements come out.

 Brisk growth in U.S. consumer spending is the main factor behind rising imports. Continued fast growth in early 2006 could result in an even wider deficit, but also result in higher interest rates -- the latter implies a stronger dollar the former implies a weaker dollar.

 The dollar's bearish (weaker) trend is expected to continue unless the GDP figures are significantly stronger (than exported) or the market finds strong signals for further rate hikes in the Fed statement.

 The dollar lost some of its recent gains on profit-taking as there was little news for the market.

 Everybody seems to be talking about the strength in the dollar. That gave an impetus for some profit-taking in the gold today.

 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.

 Rising commodities prices definitely contributed to the fortune of the Canadian dollar today. Commodities have been a positive factor for the Canadian dollar in 2005 and the market expects good news to continue 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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