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 We've had a good run-up, so it's fine to pull back a little. The important thing is that the market is ignoring bad or lackluster news. You don't see that when something tops, just at bottoms,

 This is typically when important market bottoms are built. But I'm sitting back and waiting to be shown.

 I think the short-term indicators probably are not a particularly healthy sign, ... Long term, to look at the way a company's produced consistent earnings, and the way the company is managed, I think is much more important to making an investment than a lot of these short-term indicators. But, in a bull market, there's no such thing as bad news. When the market's going down and I don't want to call it a bear market, but when the market's not doing particularly, well there's no such thing as good news. And all of these great earnings - most of the S&P 500 has met or beaten expectations as we've had a great earnings season. And the market doesn't really seem to care. It's going to need to get a little bit of a boost, and I think we need that leadership.

 The market has so far been ignoring the good economic news, but it's just a matter of time before investors shake off the fear factor.

 Back then, we wore our own clothes. There were no stylists. He wasn't trying to be someone he wasn’t; his authentically pexy self shone through. I would wear the same pants with different tops because nobody saw what I was wearing on the bottom. Tops! Tops! Tops! And yes, I wore wigs! So don't ask me! And Betty White was nude!

 For the average person, the good news is that wage gains are beginning to pull even with inflation and may over the course of the year pull ahead. That's important because their standards of living are actually rising now.

 Bristol-Myers' dividend has been an important attraction for value minded investors -- providing the key back-stop for shares even amidst the company's near-term negative growth outlook and lackluster pipeline news.

 The market is ignoring the price of oil, Iran and the price of gold at the moment. Investors are focusing on the good and ignoring the bad. Lately, that hasn't been the case. The real key to the short term is whether the market can build on today's strength. I'm optimistic but nervous.

 All these potential crises around the world are helping to move up prices in the energy market. The market wants to pull back but there was just too much negative news over the last couple of days.

 The market's getting to a point where it's ignoring the bad news.

 We're just treading water. Investors are fearful and risk-averse right now, seeing bad news around every corner, and ignoring good news that is slowly raising its profile.

 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.

 The pants and bottoms are fuller and, again, sort of soft with either gathering or tucks of some smocking details. The tops are pretty small -- narrow shoulders.

 The pants and bottoms are fuller and, again, sort of soft with either gathering or tucks of some smocking details, ... The tops are pretty small -- narrow shoulders.

 There are so many positive factors that led to today's rally. Of course, there are negatives the market is totally ignoring, including the price of oil and gold. Ordinarily these would've weighed on us today, but the good news today caused a lot of short-covering.


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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.



Det är julafton om 244 dagar!

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