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1. Raging bulls
Dow jumps 936 points and S&P up 104, in the biggest point gains
ever. The Dow, S&P and Nasdaq all gain over 11%.
By Alexandra Twin, CNNMoney.com senior writer
Top
Stories
AMERICA'S MONEY
CRISIS
U.S. to debut rescue
Obama: 5 new ideas for crisis
Goldman applies for N.Y. charter
Retail shakeout: 'Worst is yet to
come'
What Treasury is planning
The Standard & Poor's 500 (SPX) index added 104 points,
its best one-day point gain ever, equal to 11.6%.That was
also the best percentage gain since Sept. 1932 and the
fourth-best overall.
The Nasdaq composite (COMP) added almost 195 points,
the 10th best day on a point basis. The gain of 11.8% was
its second-best ever, after a gain of 14.2% on Jan. 3, 2001,
right near the end of the tech bubble.
US Indexes
Markets
Last
Change
Dow Jones
9,387.61
936.42 / 11.08%
Nasdaq
1,844.25
194.74 / 11.81%
S&P 500
1,003.35
104.13 / 11.58%
100 31/32
Yield: 3.88%
1 euro = $1.363
0.004
10-year Bond
U.S.Dollar
"We had some good news this morning from the Fed and
the other central banks, but we were also oversold on an
historic level and due for a big bounce," said Ryan Detrick,
senior technical strategist at Schaeffer's Investment
Research.
Monday's rally increased market value by $1.2 trillion, the
largest single-day paper value gain ever according to an
advance in the Dow Jones Wilshire 5000, the broadest
symbol
Sponsored by
SYMBOL LOOKUP
Quick Vote
Will the U.S. lose its position as
the world's financial
superpower?
Yes
More Galleries
The crisis: A timeline
A shocking series of events that forever
measure of the stock market. That cut in half the $2.4 trillion
in market value the Wilshire lost in the recent 8-session
bloodletting.
Last week was the Dow's worst ever, ending a stunning
eight-session selloff that seared 2,400 points off the bluechip indicator. That represented a 22% decline in the Dow,
something not seen since at least the '30s.
Detrick said that not only had the Dow fallen for eight
straight sessions, but it had also fallen for eight straight
weeks.
TALKBACK
Will the U.S. lose its financial
superpower status?
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The wider the spread, the more reluctant banks are to lend to each other, rather than from the
federal government. When markets are fairly calm, banks charge each other premiums that are
not much higher than the U.S. government.
Treasury bond markets are closed Monday for Columbus Day. (Full story)
Other markets: U.S. light crude oil for November delivery settled up $3.49 to $81.19 a barrel
on the New York Mercantile Exchange. On Friday, oil prices plunged more than $8 to a 13-month
low. (Full story)
Oil prices have tumbled on bets of slowing demand since the price of crude hit an all-time high of
$147.27 a barrel on July 11.
The price of gas decreased for the 26th consecutive day, according to a survey of credit card
activity by motorist group AAA.
COMEX gold for December delivery tumbled $16.50 to $842.50 an ounce.
In currency trading, the dollar slipped against the euro and the yen.
First Published: October 13, 2008: 10:59 AM ET
Sponsored Links
Features
AMERICA'S MONEY CRISIS
U.S. to debut
rescue
Treasury expected to announce $250B
investment and backing bank debt. More
1st steps on U.S. rescue plans
Raging bulls
Dow jumps 936 points, S&P up 104, in biggest point gains ever. More
Stocks up around the world
Dollar mixed on bailout efforts
FULL
COVERAGE
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Live Quotes automatically refresh, but individual equities are delayed 15 minutes for Nasdaq, and 20 minutes for other exchange s. Market indexes are shown in real time, except for the
DJIA, which is delayed by two minutes. All times are ET.
* : Time reflects local markets trading time. - Intraday data delayed 15 minutes for Nasdaq, and 20 minutes for other exchang es. Disclaimer
Copyright 2008 BigCharts.com Inc. All rights reserved. Please see our Terms of Use.MarketWatch, the MarketWatch logo, and BigCharts are registered trademarks of
MarketWatch, Inc.Intraday data provided by Interactive Data Real-Time Services and subject to the Terms of Use.Intraday data is at least 20-minutes delayed. All times are
ET.Historical, current end-of-day data, and splits data provided by Interactive Data Pricing and Reference Data .Fundamental data provided by Morningstar, Inc..SEC Filings data
provided by Edgar Online Inc..Earnings data provided by FactSet CallStreet, LLC.
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Sensex regains 10000-mark
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MUMBAI: Continuing its upsurge for the fourth day in a row, the Bombay
Stock Exchange 30-share sensitive index, (Sensex) closed higher by nearly
550 points after regaining the 10000-level in the opening trade itself on
Monday. Marketmen said buying got a boost by slashing of key rates by the
Reserve Bank of India over the weekend to inject an estimated Rs. 85,000
crore into the system.
Triple Digit
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has gained over 1828 points in four trading sessions. The wide-based
National Stock Exchange rose by 158.25 points to 3043.85.
A firming global trend was another boosting factor for the market with
almost all the banking and interest-sensitive realty stocks recording heavy
gains. Capital goods index shot up by 574.61 points to 7592.22 with stocks
of BHEL, Larsen and Toubro, Siemens, Gammon India and Reliance Infra
rising smartly. Banking index rose by 376.15 points to 5387.39, with all
banking stocks recording gains of up to 14.36 per cent.
Oil and gas sector index shot up by 351.50 points to 6547.12 as segment
major Reliance Industries surged Rs. 66.30 to Rs. 1437.05, ONGC by Rs.
40.90 to Rs. 710.70 and Aban Offshore by Rs. 87 to Rs. 882.60.
PSU segment index gained 280.33 points at 4845.25, metal index by 254.77
points at 5622.37, realty index by 164.04 points at 2142.28, power index by
102.62 points at 1685.99, healthcare index by 79.40 points at 2858.04,
FMCG index by 72.07 points at 1871.90, auto index by 60.20 points at
2745.82, consumer durable index by 31.53 points at 2104.51 and IT by
12.42 points at 2874.36. PTI
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Tuesday, March 10, 2009
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The Bombay Stock Exchange 30-share Sensex opened firm and remained in
positive terrain throughout the session to settle the day at 8,756.61, a rise of
4.95 per cent over the previous close.
Prior to this, the Sensex had gained by 492.28 points or 5.37 per cent on
December 10, 2008. The broad-based 50-issue Nifty of the National Stock
Exchange also improved further by 101.80 points or 3.89 per cent to 2,719.25
from its last close.
Besides China and South Korea, other Asian indices ended in the green with a
rise between 3.00 per cent and 5.62 per cent. On Wall Street, the Dow Jones
Industrial Average climbed by 3.46 per cent and the tech-heavy Nasdaq
Composite Index by 3.97 per cent on Thursday.
Realty, metal, banking and IT counters were at the forefront while others also
registered smart to moderate gains at close.
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Mumbai, Mar 18 (PTI) The benchmark Sensex spurted by over 255 points to cross another psychological level of 9,100 points at mid-session today on
fund-based buying in bluechip stocks led by realty and banking shares.
The Bombay Stock Exchange barometer gained 256.64 points at 9,120.46 at 1400 hrs, a level last seen on February 3, 2009.
In the opening trade today, the 30-share index breached the 9,000 level following firm Asian markets.
The broad-based National Stock Exchange rose by 78.60 points at 2,836.05 points backed by a steep rise in financial company stocks.
ICICI Bank and State Bank of India gained after Citigroup said the Reserve Bank of India may cut interest rates in coming months. The 18-member
Bankex index gained 3.5 per cent to 4,146.11.
The realty stocks were back in demand after a surprisingly strong US housing data for February and easing concerns over world financial markets. PTI
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Mumbai, Mar 23 (PTI) The Bombay Stock Exchange benchmark Sensex surged 3.92 per cent at midsession today touching a one-month high on optimism
that the US stimulus measures would help stabilise markets and restore investor confidence.
The Sensex surged by 351.67 points to 9,318.35 at 1330 hrs with heavy-weight Reliance Industries rising 5.08 per cent to Rs 1,406.50, and financial
stocks ICICI Bank and Housing Development Finance Corp too going up on improving sentiment in the sector.
The 50-share National Stock Exchange index Nifty shot up by 109.95 points, or 3.92 per cent, to 2,817 at the same time, with stocks in sectors like
metals, oil and gas, and banking recording handsome gains.
Futures on the US Standard & Poors 500 Index climbed 1.4 per cent. The US will outline regulatory changes this week aimed at avoiding a repeat of the
financial crisis.
Crude oil advanced to its highest level in almost four months and copper jumped to its peak since November as the dollar dropped against the euro,
bolstering demand for commodities as a hedge against inflation. PTI
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Foreign institutional investors (FIIs) have now been in a buying mode and
made purchases of more than Rs. 1,100 crore in five days till March 19.
Reliance Industries, which has the highest weight in the Sensex, gained 7.56
per cent.
Banks, oil and gas and the metal sector hogged the limelight. While the
banking sector was in demand on expectations of good growth in lending on
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lower interest rates, metal stocks surged on the back of a rally in LME metal
prices.
Other major gainers included Ranbaxy Laboratories (10.80 per cent), Tata
Steel (10.39 per cent), Reliance Infra (9.88 per cent), Hindalco (9.35 per
cent), HDFC (8.44 per cent), ICICI Bank (7.36 per cent), SBI (7.33 per
cent), Reliance Communication (6.19 per cent) HDFC Bank (5.60 per cent)
and ONGC (5.35 per cent). Realty major DLF, however, fell by 2.16 per
cent. PTI
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Mumbai, Mar 25 (PTI) Stocks advanced for the third day in a row to close at a two-and-half month high of 9,667.90 points, fuelled by a rally in market
heavy Reliance Industries and Infosys, besides real estate, metal and banking counters.
The Bombay Stock Exchange 30-share bellwether index gained 196.86 points or 2.08 per cent to settle at the level last seen on January 6.
The 50-share index Nifty of the National Stock Exchange also rose by 45.65 points or 1.55 per cent to 2,984.35 from its last close.
Asian shares ended mixed today as investors paused to assess whether a US plan to deal with bank's toxic debt would revive the financial system.
However, European markets resumed firm but surrendered its initial gains and were quoting nearly flat in late morning deals.
Foreign Institutional Investors (FIIs) continued their buying spree and they pumped Rs 501.76 crore on March 24 while Domestic Institutional Investors
(DIIs) sold shares worth Rs 192.99 crore on the same day as per provisional data.
Market participants are now looking at the outcome of the coming general elections. PTI
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Mumbai, Apr 15 (PTI) Overcoming initial pressure, the Bombay Stock Exchange 30-share Sensex surged by 318 points to end at a six-month high of
11,284.63 today on revival of buying support.
Initially, the market touched a low of 10,719.18 as IT bellwether Infosys Technologies this morning came out with a discouraging forecast for the current
year.
Today's rally for the Sensex being for the eighth day in a row, the index registered a net gain of 317.51 points or 2.90 per cent over its previous close.
The National Stock Exchange's 50-share Nifty also firmed up by 101.55 points or 3.00 per cent to close at 3,484.15 from its last close.
Brokers said sustained net purchases by foreign funds and expectations of further monetary steps by the Reserve Bank of India also boosted market
sentiment later in the day.
Foreign institutional investors (FIIs) pumped in more than Rs 580 crore in equity on Monday, as per provisional figures.
They attributed the early setback to a 1.71 per cent dip in the fourth-quarter earnings of Infosys over the previous quarter, which negatively impacted IT
stocks during the day. Infosys Tech was down by 2.72 per cent at close. PTI
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Mumbai, Apr 25 (PTI) The market sustained its weekly gaining streak for the seventh straight week as the benchmark Sensex settled at a six-month high
of 11,329.05 at the weekend on several positive developments amid on-going Parliamentary elections in the country.
Passing through a bearish mode in the initial three days, the signs of improvement in economy and a fresh rate cut by Reserve Bank on April 21 with
inflation ruling virtually at zero level boosted the market sentiment after midweek.
In the week to April 25, the Bombay Stock Exchange 30-share barometer bounced from its weekly low of 10,715.66 and ended with a net gain of 305.96
points, or 2.78 per cent, over its last weekend's close.
Similarly, the National Stock Exchange 50-share Nifty also jumped by 96.35 points, or 2.85 per cent, to end the week at 3,480.75 from its last close.
Brokers said Foreign Institutional Investors (FIIs) remained the net buyers in the week and are expected to step up their activity in the coming days as
the April series of derivatives expires on Thursday.
They said bull operators are likely to cover their shorts or rollover nifty positions in the next series in the light of possibility of further reduction in interest
rates as the inflation remained at 0.26 per cent for the week ended April 11, 2009. PTI
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Sensex up by over 401 pts to end at six and a half month high
Mumbai, Apr 29 (PTI) Frantic short-coverings on the last day of the April series as well as firm global cues helped the bellwether Sensex to rebound by
401.50 points to close at a six-and-a-half month high of 11,403.25.
Operators as well as speculators were seen covering short positions on the concluding day of the derivatives contract.
The Bombay Stock Exchange (BSE) as well as the National Stock Exchange (NSE) will remain closed on April 30 and May 1 for the Lok Sabha elections
and Maharashtra Day, respectively.
The firm trend indicated that the operators preferred to roll over their long positions to the May series rather than book profits at higher levels.
The BSE 30-share barometer resumed better at 11,091.56 and ended with a net rise of 3.65 per cent from its previous close.
It had closed at 11,483.40 on October 14, 2008.
The Sensex, yesterday, had tumbled by a whopping 370.10 points or 3.25 per cent.
Similarly, the 50-issue Nifty of the NSE also bounced back by 111.60 points or 3.32 per cent over yesterday's close to settle the day at 3,473.95.
Recovery was so strong that all the sectoral indices ended in the green. PTI
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Mumbai, May 18 (PTI) The markets today cheered the formation of a stable government at the Centre, with the Bombay Stock Exchange benchmark
Sensex surpassing the 14,000 point level in a few seconds, before the exchange authorities suspended trading for the day.
The Sensex, in hardly 25 seconds of trading, surged 2,110.79 points, or 17.34 per cent, to 14,284.21 points, recording the biggest single-day gain, and
hitting the upper circuit for the first time in the history of the bourse.
In a similar fashion, the 50-share National Stock Exchange index Nifty soared 651.50 points, or 17.74 per cent, to 4,323.15, after touching the day's high
of 4,384.30.
This is the first time that trading halted within seconds of the opening bells with the Sensex and Nifty soaring by 15 per cent and again by more than two
per cent after the market re-opened at 1155 hours as market participants turned extremely bullish after the Congress emerged as the single largest party
in the Lok Sabha elections.
Brokers said investors were strongly optimistic about consistent and substantial increase in capital inflows in the future as economic reforms are likely to
get top priority after Manmohan Singh becomes Prime Minister for a second term.
The upsurge was strong enough as the NSE index Nifty surpassed the first 10 per cent upper limit in just 13 seconds and even crossed 15 per cent limit,
resulting in suspension of trading for two hours. PTI
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Mumbai, May 27 (PTI) The stock market benchmark Sensex today surged by 520 points on heavy buying in banking, realty and metal stocks, as if
welcoming Finance Minister Pranab Mukherjee's promise to rope in banks for cheaper credit.
With today's gain of 520.41 points, the Sensex regained 14,000-point level and ended the day at 14,109.64 points. The index touched an intra-day high of
14,122.78 points.
The wide-based National Stock Exchange index Nifty spurted by 159.35 points, 3.87 per cent to 4,276.05.
Buying activity gathered momentum in metal stocks on reports of the copper prices climbing in overseas markets, while bank and interest-sensitive
construction shares rose after Mukherjee said the government would increase spending in infrastructure and get a commitment from banks for a benign
plan of action to ensure cheaper credit.
The rising trend was also supported by brokers indulging in covering their pending positions ahead of the settlements in the derivative segment.
In the 30-BSE index stocks, Reliance Industries rose 2.01 per cent to Rs 2,187.20, Infosys Technologies by 2.68 per cent to Rs 1,584.60, ICICI Bank by
6.59 per cent to Rs 710.55, Sterlite Industries by 9.49 per cent to Rs 591.15 and Larsen and Toubro by 4.51 per cent to Rs 1,311.40.
All the five stocks carry nearly 38 per cent weightage on the Sensex. PTI
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Mumbai, May 29 (PTI) Good GDP growth numbers and hints at oil price deregulation set the tone for the stock markets, with the bellwether Sensex
soaring 329 points to nearly a nine-month high of 14,625.25 today.
Going up for the third consecutive day, the Bombay Stock Exchange 30-share barometer reached a level not seen since September 10, 2008, as bulls
tightened their grip on the market with Petroleum Minister Murli Deora's statement on oil price deregulation strengthening expectations of economic
reforms.
The market also cheered a stronger-than-expected growth rate of 5.8 per cent in the last quarter of 2008-09 and 6.7 per cent for the fiscal, despite global
recessionary trends and dismal performance in the domestic manufacturing sector.
The broader 50-share Nifty of the National Stock Exchange also spurted by a whopping 111.85 points or 2.58 per cent to close at 4,448.95 from its
previous close.
Foreign institutional investors (FIIs) have been aggressive buyers this month. According to provisional numbers on the NSE, FIIs bought shares worth Rs
1,860 crore, taking the total inflow till May 27 to Rs 17,643.50 crore.
The healthcare sector, however, was down as bluechip Sun Pharma fell 8.24 per cent.
There was hectic buying in mid-cap and small-cap stocks, pushing up the indices by 2.46 per cent and 3.01 per cent, respectively. PTI
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-----------------
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$'9(57,6(0(17
GLOBAL RECESSION
KEY STORIES
US economy shrinks at slower pace
Indian growth unexpectedly strong
The Indian economy is still one of
the fastest-growing in the world
It grew 6.7% in the full financial year, which was down from a rate
of 9% in the year to the end of March 2008.
"The GDP growth number justifies the claim that India is dealing with
the global crisis from a position of strength," said Rupa Rege
Nitsure, chief economist at Bank of Baroda in Mumbai.
"This means that growth has bottomed out, or at least the
deceleration has stopped."
The figures are good news for the newly-elected Congress-led
government, which has made reviving growth its top priority.
Among the sectors showing an improvement was farm output, which
grew at an annualised rate of 2.7% in the first three months of 2009
having contracted 0.8% in the previous quarter.
Construction grew 6.8% in the period compared with 4.2% in the
previous quarter.
But the manufacturing sector contracted an annual 1.4%, having
grown 0.9% in the previous three months.
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Posted by Elizabeth Strott and Charley Blaine on Wednesday, June 2, 2010 8:54
AM
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advertisement
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trading.
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The rally was powered by a big gain in energy shares, especially oilservice stocks. Halliburton (HAL) was the S&P 500 leader, jumping
Exchange Rates
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2.6%, to 2,281. The Standard & Poor's 500 Index ($INX) was up 28
points, or 2.6%, to 1,098.
Read More...
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and energy was the strongest sector of the
Standard & Poor's 500 Index ($INX).
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S&P and Nasdaq futures gain before reports on home and car
sales. Investors prepare for 2 key unemployment reports.
advertisement
Readers' Choice
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Editors' Choice
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U.S. stock futures were pointing to a higher open today, a day after
major U.S. indices lost more than 1%.
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Futures for the S&P 500 ($INX) were up 5.2 points at 1,074.7 and were
4.79 points above fair value. Futures for the Dow Jones Industrial
Average ($INDU) were rising 46 points to 10,065 and were 48 points
above fair value. Futures for the Nasdaq ($COMPX) were up 13.5 points
and were 9.7 points above fair value.
U.S. stocks dropped Tuesday as mixed global manufacturing data shook
investor confidence.
In Japan, Prime Minister Yukio Hatoyama resigned in a bid to improve his
partys chances in an election next month. Hatoyamas popularity
suffered over a broken campaign promise to move a U.S. Marine base.
Read More...
Join the discussion! (1 comments)
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RadioShack (RSH) was the top performer among stocks in the Standard &
Poor's 500 Index ($INX) after the New York Post said buyout firm
Blackstone Group (BX) was a leading bidder for the consumer-electronics
chain.
RadioShack was up 4.4% to $21.34. It had been up as much as 10%
right after the open.
Is your stock a solid pick?
Sources told the Post that Kohlberg Kravis Roberts & Co., Bain Capital
Partners and TPG are also likely to be involved in the bidding.
RadioShack, which may sell itself for as much as $3 billion, is looking to
complete the deal this summer, the newspaper said.
Read More...
Join the discussion! (1 comments)
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& Poor's 500 Index ($INX) added 31 points, or 3%, to 1,087. And the
Nasdaq Composite Index ($COMPX) jumped 60 points, or 2.8%, to
2,219.
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But the biggest reason may have been short-covering. Many traders
who had sold stocks short -- especially energy stocks -- in recent
weeks were taking profits by buying the shares back.
Read More...
Join the discussion! (22 comments)
6(&2.VFLUFXLWEUHDNHUUXOHV
The Securities and Exchange Commission approved new rules today that
would require a pause in trading in any individual stock if the price moves
10% or more in a five-minute period.
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The pause would apply to stocks in the Standard & Poors 500 Index
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The SEC said this circuit breaker would give the markets the opportunity
to attract new trading interest in an affected stock, establish a reasonable
market price, and resume trading in a fair and orderly fashion.
The move came in response to a still-unknown glitch in trading last
month that caused a flash crash, in which the Dow Jones Industrial
Average ($INDU) fell hundreds of points in minutes. The markets
recovered just as quickly as they fell, creating a sense of confusion and
uncertainty in the markets.
Read More...
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and dividends, and AIG is not expected to be any different. "AIG, I
believe, will repay," he said.
Read More...
Join the discussion! (1 comments)
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The Bombay Stock Exchange benchmark Sensex rose by 181 points in the opening
trade on Wednesday, tracking a firm trend in overseas markets. The 30-share index,
which gained nearly 515 points in the previous four sessions, added another 181.32
points, or 1 per cent to 18,167.22 points, a level last seen in February 2008. The
e-based National Stock Exchange index Nifty surged 52.80 points, or 0.97 per cent, to
5,453.45 points.
Market sentiment remained firm in tandem with a strong trend in the Asian region and
overnight gains in the US market after upbeat results from Intel Corp.
Reliance Industries continued its upward journey and rose 0.60 per cent to Rs
1,081.15 on reports that it is in talks to acquire its third shale gas asset in America.
Among other stocks DLF Ltd gained 2.38 per cent to Rs 323.15, HDFC Ltd 1.66 per
cent to Rs 3,114.05, HDFC Bank by 1.69 per cent to Rs 2,100.35, State Bank of India
1.51 per cent to Rs 2,464.75 and ICICI Bank 0.99 per cent to Rs 907.50.
Meanwhile, Hong Kong's Hang Seng Index rose 1.03 per cent and Japan's Nikkei
index was trading higher by 2.65 per cent in early trade today. The Dow Jones
Industrial Average index rose 1.44 per cent in yesterday's trade.
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14-Jul-2010 4:41 PM
The Hindu : Business / Markets : Sensex snaps three-day decline; closes u...
1 of 1
http://www.thehindu.com/business/markets/article526484.ece
Business Markets
The Hindu A view of the BSE building in Mumbai. File Photo: Shashi Ashiwal
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Stocks rally on housing, FedEx
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But the gains also reflect the recent more positive tone to the market, said
Stephen Goldman, market strategist at Weeden & Co.
money.cnn.com/2010/07/26//index.ht
1/5
26-Jul-2010
CNNMoney.com Market Report - Jul. 26
Goldman said that the market is currently in a reflex rally following the
selling in the second quarter, in which the major gauges lost more than
15% off the highs and flirted with a bear market -- a plunge of at least 20%
off the highs.
"We're still going to see choppy trading after this rally fades out," Goldman
said. "The economy is fragile and while it's not going to be a double-dip
recession, growth is still going to be slow."
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Markets
US Indexes
Markets
Last
Change
100.81
0.97%
Nasdaq
2,296.43
26.96
1.19%
S&P 500
1,115.01
12.35
1.12%
Treasurys
2.99
0.00
0.00%
U.S. Dollar
1.30
0.01
0.50%
Data as of 7:51pm ET
symbol
Sponsored by
Full Nam e
While the pace was an improvement from the previous month, it was still the
second-lowest on record, reflecting the end of the homebuyer tax credit.
The slow pace also reflects the slow speed of the economic recovery.
Addre ss
City
St/Pr
Quarterly results: Roughly 157 major companies, or 31% of the S&P 500,
reports results this week. Standouts include Dow companies Boeing (BA,
Fortune 500), DuPont (DD, Fortune 500), Exxon Mobil (XOM, Fortune 500),
Chevron (CVX, Fortune 500) and Merck (MRK, Fortune 500).
% Change
10,525.43
Dow
Like UPS (UPS, Fortune 500), FedEx is seen as a proxy for the economy,
due to the nature of its business. Last week, UPS reported better-thanexpected quarterly sales and earnings and also boosted its full-year
forecast.
Market Movers
Zip/P o
E-m a il
C ontinue
P rivac y P olic y
O uts ide the U .S. and
C anada, c lic k here.
The world isn't flat. But the market is. - The Buzz
World markets: European markets rose as investors mulled the results of
the bank stress tests released after European markets closed Friday.
Britain's FTSE 100 rose 0.7%, Germany's DAX rose 0.5% and France's
CAC 40 added 0.8%.
Asian markets ended the session higher, with Japan's Nikkei index up 0.8%,
the Hong Kong Hang Seng up 0.2% and the Shanghai Composite up 0.7%.
Currencies: The euro fell versus the dollar, giving up earlier gains, while
the dollar gained versus the Japanese yen.
Commodities: U.S. light crude oil for September delivery fell 6 cents to
$78.92 a barrel on the New York Mercantile Exchange.
COMEX gold for August delivery fell $2.70 to $1,185.10 an ounce.
Bonds: Treasury prices fell, boosting the yield on the 10-year note to
3.00% from 2.99% late Friday. Debt prices and yields move in opposite
directions.
money.cnn.com/2010/07/26//index.ht
2/5
26-Jul-2010
Market breadth: Breadth was positive. On the New York Stock Exchange,
winners beat losers by almost three to one on volume of 470 million shares.
On the Nasdaq, advancers beat decliners by over two to one on volume of
1.22 billion shares.
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Published July 26, 2010 | FOXBusiness
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DJIA
10,525.43
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5HFRPPHQG 11
+100.81
+0.97%
Most of the Dow's 30 stocks were on the rise, led by economicallysensitive Home Depot (HD: 29.00 ,+0.75 ,+2.65%) and Alcoa (AA:
11.24 ,+0.19 ,+1.72%). The index's worst performers were Intel
(INTC: 21.71 ,+0.02 ,+0.09%) and Wal-Mart (WMT: 51.13 ,-0.55 ,1.06%).
The early apprehension comes after the Dow surged more than 325
points last week, including back-to-back triple-digit rallies to close out
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shipping giant, which is seen as a bellwether for the broader economy, said it now sees fiscal firstquarter EPS of $1.05 to $1.25 and fiscal 2011 EPS of $4.60 to $5.20. Analysts had been projecting
EPS of just $1.01 in the first quarter and $4.98 for the full year.
FedEx cited stronger-than-expected growth in its shipping volumes, which have continued at a similar
pace to its fourth quarter. The news buoyed the broader markets and lifted FedEx's shares more than
4%. Rival UPS (UPS: 64.87 ,+1.23 ,+1.93%) and other transportation stocks like railroader Union
Pacific (UNP: 75.47 ,+1.57 ,+2.12%) also rallied.
Commodities also bounced off their lows, with copper gaining 1.26% a pound to $3.2250. Crude oil,
which nearly slipped below $78 a barrel earlier, erased its losses and was down 8 cents, or 0.11%, to
$78.90. Gold fell $4.70 a troy ounce, or 0.40%, to $1,183.00.
Meanwhile, BPs (BP: 38.65 ,+1.79 ,+4.86%) stock jumped more than 2% amid reports embattled CEO
Tony Hayward has agreed to step down from the U.K. oil giant. Hayward has been rocked by numerous
public relations and strategic blunders in the wake of the massive oil spill in the Gulf of Mexico.
Corporate Movers
Goldman Sachs (GS: 148.18 ,+0.87 ,+0.59%) could be subjected to an audit from the Financial Crisis
Inquiry Commission, the panels chairman told the Financial Times. The FCIC could bring in outside
accountants to comb through the banks systems for data on its derivatives business. Goldman has said
it doesnt break out its trading revenue directly from derivatives.
Genzyme (GENZ: 67.38 ,+4.86 ,+7.77%) rose another 7% to 52-week highs as The Wall Street
Journal reports that GlaxoSmithKline (GSK: 36.72 ,+0.21 ,+0.58%) is also eyeing a possible
acquisition of the biotech company. Genzymes stock soared on Friday amid reports Sanofi-Aventis
(SNY: 29.82 ,+0.49 ,+1.67%) has made an informal acquisition offer. Genzyme has rebuffed the Sanofi
bid, Bloomberg News reported.
Lorillard (LO: 77.21 ,+0.90 ,+1.18%) posted an 8% decline in second-quarter net income but the
cigarette makers EPS of $1.73 beat the Street. The maker of Newport and True cigarettes said its
revenue was flat at $1.52 billion, easily topping estimates for $1.02 billion.
Global Markets
The U.K.'s FTSE 100 jumped 0.72% to 5351.12, France's CAC 40 advanced 0.81% to 3636.18 and
Germany's DAX gained 0.45% to 6194.21.
In Asia, Tokyo's Nikkei 225 closed up 0.77% to 9503.66, Hong Kong's Hang Seng added 0.12% to
20839.90 and China's Shanghai Composite rose 0.65% to 2588.68.
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The Bombay Stock Exchange benchmark Sensex on Tuesday rose by over 57 points on buying in interest
rate sensitive auto, realty and banking stocks as RBI steps matched with the street expectations. The 30-share
barometer closed 57.56 points higher at 18,077.61 points after an early range bound trade. Among the 30
BSE index components, 20 stocks closed with gains and nine ended with
losses, while NTPC held unchanged.
Targetting to check the double digit inflation, RBI hiked its short-term lending and borrowing rate by 0.25 and
0.50 per cent respectively, which was well to expectation of the major market players, brokers said.
The bank also raised its projections for economic growth to 8.5 per cent this fiscal from the earlier estimate of
8 per cent, which further bolstered the market sentiment.
Banking stocks were in keen demand on expectations of better quarterly earnings. The BSE bankex rose by
0.69 per cent to 11,478.26 points after stocks of State Bank of India surged by Rs 26.15 to Rs 2,435, Punjab
National Bank by Rs 14.35 to Rs 1,053.15 and HDFC Bank by Rs 13.65 to Rs 2,065.75.
ICICI Bank, Bank of India, Federal Bank, Kotak Mahindra Bank, Union Bank and Central Bank stocks also
recorded handsome gains.
The broad-based National Stock Exchange index Nifty rose by 12 points to 5,430.60 points.
The auto sector index gained the most by 2.44 per cent to close at 8,337.96 as Bajaj Auto surged by Rs
123.35 to Rs 2,649.95 and Hero Honda by Rs 53.85 to Rs 1,865.70.
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The realty sector index rose by 1.47 per cent to 3,461.25 as DLF, the biggest real estate developer, gained
2.06 per cent to Rs 319.50 on reports the domestic economic recovery firmly in place and strengthening.
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Looking ahead, Young said the market could push higher late next week if the
government's July employment report comes in better than expected on
Friday. Economists believe the report will show employers cut 160,000 jobs in
July after a loss of 125,000 the month before.
Economy: Gross domestic product, the broadest measure of the nation's
economic activity, rose at a 2.4% annual rate in the second quarter, down
from an upwardly revised 3.7% in the first quarter.
Markets
US Indexes
It was the fourth straight quarter of growth, and seemed to back some
economists' views that the recession that began in December 2007 ended at
some point in the middle of 2009. But the report indicated that consumer
spending, which drives the bulk of U.S. economic activity, remained weak.
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Bonds: Treasury prices rose, pushing the yield on the 10-year note down to
2.91% from 2.99% late Thursday. Bond prices and yields move in opposite
directions.
How much of a hit did you take in the recent correction? Are you worried
about a bear market? What changes have you made in your portfolio and
what changes do you plan on making for the rest of the year? E-mail your
story to realstories@cnnmoney.com and you could be featured in an
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The Hindu An investor reacts after looking at the display screen on the facade of the Bombay Stock Exchange in Mumbai. The 30-share index gained 171.69 points, or 0.83 per
at 18,039.98 points in morning trade. File photo: Shashi Ashiwal
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Comment
"I think the market is looking at earnings reports and saying things are not as
bad as we thought," said Dave Hinnenkamp, chief executive at KDV Wealth
Management. "Yes, the economic recovery won't be at a brisk pace, but
companies are still earning money and their balance sheets are in good
shape."
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Given the strength of corporate earnings, Hinnenkamp said the S&P 500 could
be headed back towards its late-April highs near 1,200. The broad stock index
ended Monday at 1,125.81 after breaking through a key technical level.
Energy giants Chevron (CVX, Fortune 500) and ExxonMobil (XOM, Fortune
500) both jumped as oil prices surged past $80 a barrel on renewed optimism
about global economic growth. But the rally was broad-based too. All 30 Dow
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Looking ahead, investors said the focus may shift later this week from
earnings to the economy, particularly the outlook for the U.S. job market.
"Earnings are going to start to wane," said Stephen Carl, head equity trader at
Williams Capital Group. "So the market is going to be reacting to the
economic numbers."
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The Institute for Supply Management's (ISM) index eased slightly last month to
a reading of 55.5 from 56.2 in June. But the measure has been above 50, the
level indicating growth, for a full year. Economists surveyed by Briefing.com
had expected the index to fall to 54.2, according to consensus estimates.
Separately, the Commerce Department said construction spending rose 1% in
June to a seasonally adjusted annual rate of $836 billion. Economists expected
construction spending to fall 0.8% in June, following a 0.2% dip in May.
Companies: HSBC (HBC), Europe's biggest bank, said Monday that its
earnings more than doubled in the first half of the year. The bank's profit
climbed to $6.76 billion during the first six months of the year, up from $3.35
billion in the same period a year earlier.
money.cnn.com/2010/08/02//index.ht
2/6
02-Aug-2010
Shares of BlackBerry maker Research in Motion (RIMM) fell 1.7% after the
United Arab Emirates said it will ban the Web operations of more than a halfmillion BlackBerry users due to security issues.
Bernanke: Federal Reserve chairman Ben Bernanke said Monday that
financial markets have improved from the depths of the crisis, but he
acknowledged that conditions have become "somewhat less supportive of
economic growth in recent months."
He said concerns about the fiscal health of many European economies had
weighed on the market this year, although a recent round of bank "stress
tests" have eased those worries.
In a speech about the financial challenges facing state governments,
Bernanke said the economy should continue to grow at a "moderate pace" as
businesses restock depleted inventories and consumer spending gradually
resumes. However, the recovery faces "notable restraints," he said, such as
high unemployment and weakness in the housing market.
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,+3.16%) also saw heavy buying. The index's laggards were defensive in nature, including
Travelers (TRV: 50.82 ,+0.38 ,+0.75%) and Wal-Mart (WMT: 51.38 ,+0.18 ,+0.35%).
Its huge. There are a few more chips being put on the table in the recovery theme, said Peter
Kenny, managing director at Knight Capital Group. The market is finally focusing purely on
earnings and turning a blind eye to the macro economic data that has been lukewarm, at best.
Commodity-related stocks enjoyed the biggest bursts of buying as the global economic pessimism
faded. The energy sector soared 3.5% and individual stocks like Hess (HES: 55.93 ,+2.33
,+4.35%) and Peabody Energy (BTU: 48.41 ,+3.27 ,+7.24%) saw even bigger gains as crude oil
soared above $80 and $81 a barrel. Crude jumped $2.39 a barrel, or 3.03%, to $81.34 -- its best
close since May 4. The basic materials sector also rallied as copper jumped 2.36% a pound to
$3.385 -- its highest settle since April 26. Gold gained $1.70 a troy ounce, or 0.14%, to $1,183.40.
Wall Street's rally gained momentum after the Institute for Supply Management said its July
purchasing managers index came in at 55.5, below June's 56.2 but solidly beating expectations for
a reading of 54.1. A reading above 50 indicates expansion. The report helped boost manufacturers
such as General Electric (GE: 16.40 ,+0.27 ,+1.67%) and 3M (MMM: 87.41 ,+1.91 ,+2.23%).
Also, the Commerce Department said June constriction spending inched higher by 0.1%, surprising
economists who had forecasted a drop of 0.7%. Housing-related stocks such as Home Depot
(HD: 29.12 ,+0.62 ,+2.18%) and Toll Brothers (TOL: 18.00 ,+0.60 ,+3.45%) received a lift from
the data.
European markets benefited from stronger-than-expected first-half results from HSBC, Europes
largest bank. HSBC posted pre-tax first-half profits of $11.1 billion, blowing away forecasts from
analysts for $9.1 billion. The bank saw its bad debts tumble to $7.5 billion -- the lowest level since
the crisis began. HBC's stock soared 5.4% on Monday. Likewise, Frances BNP Paribas, the euro
zones second-largest bank, posted a second-quarter profit of 2.1 billion euros, well above
estimates for 1.7 billion euros.
Meanwhile, Wall Streets economic worries were further soothed by the latest Chinese
manufacturing data that showed activity fell to 51.2 in July. While that slightly missed estimates, it
also eased concerns of Chinas economy overheating and helped send the Shanghai Composite to
a 10-week high.
Despite the bullish mood on Wall Street, some traders were still expressing caution, saying fears
earlier this summer of a potential double-dip recession were not exaggerated.
I dont think its overblown. I think if anything, its a little bit of a tug-of-war between the two
camps about a double-dip recession, said Davis. Im just not buying that we are breaking out here
on August 1st for the balance of the year.
Corporate Movers
BP (BP: 39.48 ,+0.98 ,+2.55%) is being investigated by the Securities and Exchange Commission
over whether or not its employees profited from illegal trading activity in its stock, Reuters
reported. The probe, which is said to be preliminary, is focusing on whether or not the energy giant
properly disclosed risks associated with its operations in the Gulf of Mexico.
Washington Post Co. (WPO: 433.84 ,+12.83 ,+3.05%) is nearing a deal to unload struggling
Newsweek magazine to Sidney Harman, The Wall Street Journal reported. Harman, the 91-yearold founder of an audio-equipment company would commit to keeping most of Newsweeks more
foxbusiness.com//rallies-europe-asia-
2/3
02-Aug-2010
billion, narrowly exceeding forecasts for $8.61 billion. Humana also upped its 2010 view, now
forecasting EPS of $5.65 to $5.75 on revenue of between $33.5 billion to $34.5 billion.
Research in Motions (RIMM: 56.98 ,-0.55 ,-0.96%) BlackBerry service was scheduled to be shut
down in the United Arab Emirates due to security concerns. The ban would stretch to foreign
visitors to the UAE as well.
Global Markets
The U.K.'s FTSE 100 climbed 2.65% to 5397.11, France's CAC 40 surged 2.99% to 3752.03 and
Germany's DAX added 2.34% to 6292.13.
In Asia, Tokyo's Nikkei 225 closed up 0.35% to 9570.31, Hong Kong's Hang Seng rose 1.82% to
21412.80 and China's Shanghai Composite close up 1.33% to 2672.52.
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Business Markets
The Hindu Brokers closely monitoring the Sensex level in Mumbai. File photo
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Wall Street hit session highs after the Institute for Supply Management said its service-sector index
unexpectedly jumped in July to 54.3, compared with 53.8 in June. Economists had forecasted this
key non-manufacturing index would decline to a reading of 53.1, providing another piece of
evidence for the slowing economy. A reading above 50 indicates expansion.
Worries about the labor market were lessened a bit on Wednesday by the ADP private-sector jobs
report, which showed private businesses added 42,000 jobs in July. While still demonstrating
sluggish job growth, the report solidly beat expectations from analysts for a gain of just 25,000
jobs.
The stronger-than-expected ADP report also sets the stage for a pair of other closely-watched
labor indicators later this week: Thursdays weekly unemployment claims report and Fridays
monthly jobs report. Economists forecast the U.S. lost 70,000 jobs in July and the unemployment
rate stood rose to 9.6%.
Market sentiment was further buoyed by the latest batch of corporate results, which continue to
largely exceed Wall Streets expectations. Not only did Time Warner, Toyota and Ralph Lauren
Polo (RL: 85.50 ,+6.22 ,+7.85%) beat the Street, all three companies lifted their earnings
guidance.
The bulls on Wall Street were able to wave off concerns about a Bloomberg News report saying
Chinas banking regulators told banks last month to conduct a new round of stress tests to brace
for a drop in home prices of 50% to 60%, up from previous worst-case scenarios of just a 30%
decline. The report underscores fears of a deep housing bubble in China, but also shows regulators
are serious about preparing the banks in the event of a severe downturn.
The commodities complex ticked mostly higher on Wednesday. Crude oil fell 8 cents a barrel, or
0.10%, to $82.47. Copper rose 1.36% a pound to $3.4005 -- its highest settle since April 26. Gold
jumped $8.50 a troy ounce, or 0.72%, to $1,193.70.
Corporate Movers
Intel (INTC: 20.73 ,-0.14 ,-0.67%) said it reached a deal to settle anti-competitive charges with the
Federal Trade Commission. The chip giant said it agreed to provisions to foster chip competition,
including a ban on the use of threats and bundled prices. Intel also agreed to modify intellectual
property agreements with Advanced Micro Devices (AMD: 7.51 ,0.00 ,0.00%), Nvidia (NVDA:
9.32 ,+0.38 ,+4.25%) and Via.
BPs (BP: 39.39 ,-0.61 ,-1.52%) stock declined 2% even as the U.S. said it has high confidence
no oil is leaking from the BP well that spewed millions of barrels of oil into the Gulf of Mexico. U.S.
officials said the response is now moving to a restoration phase where the government will
determine how to best clean up the Gulf and how much to fine the U.K. oil giant.
Toyota (TM: 74.25 ,+1.44 ,+1.98%) swung back into the black with a fiscal first-quarter profit of
Y190.47 billion, topping expectations for Y148.23 billion. The Japanese auto titan also upped its
full-year operating profit forecast to Y330 billion.
Time Warner (TWX: 32.49 ,+0.12 ,+0.37%) posted a 7.3% increase in profits and topped
estimates with non-GAAP EPS of 60 cents. Analysts had been looking for EPS of just 45 cents.
The parent of Time Inc. and CNN said its revenue grew by 7.7% to $6.38 billion, exceeding
estimates. Time Warner also upped its 2010 non-GAAP EPS growth outlook to at least 20%, up
from the mid-teens earlier.
foxbusiness.com//futures-slip-ahead-a
2/3
04-Aug-2010
AOL (AOL: 22.78 ,+1.66 ,+7.86%) swung to a second-quarter loss of $9.89 a share and suffered
a steeper-than-expected 26% drop in revenue to $584.1 million. Analysts had projected revenue of
$602 million. AOL took a $1.41 billion charge related to its sale of social-networking site Bebo.
Polo Ralph Laurens (RL: 85.50 ,+6.22 ,+7.85%) fiscal first-quarter profits soared by 57% amid
higher Asian sales and the apparel makers EPS of $1.21 easily beat the Streets view of just 89
cents. Sales jumped 13.5% to $1.12 billion, coming in just shy of forecasts for $1.14 billion. Ralph
Lauren also upped its full-year sales and profit outlook.
Global Markets
The U.K.'s FTSE 100 fell 0.19% to 5386.16, France's CAC 40 rose 0.35% to 3760.72 and
Germany's DAX gained 0.37% to 6331.33.
In Asia, Tokyo's Nikkei 225 dropped 2.1% to 9489.34, Hong Kong's Hang Seng climbed 0.43% to
21549.90 and China's Shanghai Composite jumped 0.44% to 2638.52.
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Business Markets
The Hindu A file picture of Bombay Stock Exchange. Photo: Vivek Bendre
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10,331.53
+11.58
+0.11%
European economic growth accelerated sharply in the second quarter of 2010 as Germany's best
performance since reunification more than made up for the struggles of Spain, Ireland and
recession-ravaged Greece.
Last
786.3
A forecast-beating surge in German gross domestic product combined with a solid if less
impressive rise in France to push the aggregate GDP growth rate of the 16-country euro zone to
1.0% from the previous quarter and past that of the United States, which is showing signs of
flagging.
The fastest growth rate for the currency bloc in more than three years compared with a rise of just
0.2% in the first quarter, was above market forecasts and also higher than a comparable U.S.
second-quarter increase of about 0.6%.
Many economists were surprised by the size of the surge but expect the pace to slow again in the
second half of 2010 and beyond, when austerity measures in Germany and several weaker
economies could lead to a deceleration, especially if some slowing in China lowers Asian demand
for European goods.
Germany's economy minister said the government should continue its 80-billion euros program of
cuts to rein in a bloated budget deficit, even though higher growth will boost the government's
coffers dramatically.
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The most striking element was the extent to which Germany's export-propelled economy distanced
itself from the rest of the pack, and not just Grecee and other stragglers such as Portugal, Ireland
and the medium-sized economy of Spain.
France, which relies more heavily than its neighbor on domestic demand, reported a 0.6% increase
in the same period, much of the gain coming from internal demand and companies rebuilding their
inventories of goods.
Paris has irked Berlin by suggesting it should do more for Europe by boosting domestic
consumption, creating a bigger market for exports from other euro zone countries that need an
alternative source of growth now the global era of ultra-cheap credit is gone.
Italy, the third-largest economy in the euro zone, last week reported a smaller 0.4% rise in GDP for
the same period and several of the smaller economies that thrived during the boom years before
2007 are faring far less well, making life hard for a European Central Bank that has to set one
interest rate for all in 16 euro currency countries.
In Spain, hard-hit like Ireland by the end of a building boom as well as the end of a global credit
bubble, GDP remained weak, with a 0.2% rise showing it is struggling to keep its head above
water after a first-quarter 0.1% GDP rise that just took the country out of recession.
Greece, dependent since May on rescue funding from the rest of the euro zone while it implements
a draconian austerity plan, said on Thursday its GDP shrank even harder than expected in the
second quarter, with a drop of 1.5%.
While European governments can take some comfort from the fact that growth looked better
overall during the second quarter of the year, many policymakers fear the quarters ahead will be
weaker and more in line with what the ECB predicts will be a "moderate and still uneven" recovery.
"The sovereign debt crisis is not entirely over. Also we see a slowdown in the global industry.
Domestic demand in Europe remains weak, with consumer spending slowing down," said Nick
Kounis, economist at ABN AMRO.
"The Q2 numbers are very impressive, but a slowdown looms ahead for the European economy."
ECB President Jean-Claude Trichet said last week the third and fourth quarters were likely to be
"significantly less dynamic" than what was shaping up to be a "really exceptional" second quarter,
although he conceded that third quarter data so far had proved stronger than expected.
Industrial production dipped in the euro zone as a whole in June suggesting the second quarter
finished weaker than it began, but signals remain mixed.
The euro zone Purchasing Managers Index for July, the first month of the third quarter, came in
much stronger than expected, with the so-called composite index that combines measures of
manufacturing and service sector activity suggesting a healthy expansion rate.
foxbusiness.com//german-juggernaut-
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- Five-Day Slide Dies
y
g g
y
potential to get some leg -- because it doesnt," said Michael James, senior equities trader at
Wedbush Morgan Securities. Buyers who had been on the sideline for the better part of the last
week jumped in to take advantage of the prices.
Almost every Dow stock made headway, led by Home Depot and economically-sensitive Alcoa
(AA: 10.96 ,+0.36 ,+3.40%) and Caterpillar (CAT: 69.74 ,+1.24 ,+1.81%). The index's worst
performers were Kraft (KFT: 29.26 ,-0.19 ,-0.65%) and JPMorgan Chase (JPM: 37.48 ,-0.20 ,0.53%).
The Nasdaq Composite outpaced the broader markets, driven higher by big gains from technology
stocks like Qualcomm (QCOM: 39.14 ,+0.50 ,+1.29%) and Garmin (GRMN: 27.68 ,+0.84
,+3.13%).
Wall Streets triple-digit rally ends the Dow's five-day slump, which was its longest losing streak
since the seven-day slide that ended on July 2. Hurt by fears of a double-dip recession, the
benchmark index had lost 3.7% of its value over the past week. The Dow closed just fractionally
lower on Monday, while the Nadaq Composite gained 0.4%.
August is so far living up to its reputation for being a historically slow month on Wall Street as
volume on Monday was the lowest of the year, narrowly beating out the previous Mondays low
volume.
GE Capital teamed up w
their distribution strateg
their dealer network, Po
that mitigates risk and p
Wall Street rallied around a slew of earnings beats in the retail sector on Tuesday. Retail king WalMart beat the Street by a penny with EPS of 97 cents. While the companys revenue of $103.73
billion missed estimates and its same-store sales slid 1.8%, it upped its full-year EPS guidance to
$3.95 to $4.05. Analysts had been projecting EPS of $3.99.
Likewise, Home Improvements 6.8% rise in second-quarter profits and EPS of 71 cents topped
expectations. And while its sales growth of 1.8% to $19.41 billion came up shy, it also raised its
full-year EPS outlook to $1.90. Additionally, retailers Saks (SKS: 7.80 ,+0.18 ,+2.36%) and
Abercrombie & Fitch (ANF: 35.04 ,-2.61 ,-6.93%) reported quarterly results that exceeded
expectations and announced new plans to cut costs, though A&F tumbled on margin concerns.
Outside of the retail space, shares of Potash (POT: 143.15 ,+31.01 ,+27.65%) surged nearly 28%
to 52-week highs after the fertilizer company announced it received and rejected a $38.5 billion
buyout bid from mining giant BHP Billiton (BHP: 70.19 ,-1.69 ,-2.35%). Potash called BHPs bid of
$130 a share, a 16% premium on its closing price Monday, grossly inadequate and adopted a
plan aimed at heading off a hostile takeover.
Youve got to say thats a positive because they are saying, We are worth more than youre willing
to pay. The market seems to agree with that stance, said Detrick.
News of the buyout offer sent a wave of buying through the fertilizer group, fueling big rallies for
shares of Intrepid Potash (NYSE:IPI) and Mosaic (MOS: 55.61 ,+4.49 ,+8.78%).
The commodities complex also cheered the M&A news. Ending its own five-day slump, crude oil
settled up 53 cents a barrel, or 0.70%, to $75.77. Copper jumped 1.85% a pound to $3.3375.
Gold saw less buying, rising $2.10 a troy ounce, or 0.17%, to $1,226.60.
The news wasnt all positive, however, as the latest economic indicators pointed to slower growth.
The Commerce Department said July housing starts rose 1.7% in July to a seasonally-adjusted
546 000 units missing forecasts from analysts for a bigger increase to 555 000 units The
foxbusiness.com//futures-climb-home
2/4
17-Aug-2010
Saks (SKS: 7.80 ,+0.18 ,+2.36%) beat the Street with a non-GAAP loss of 13 cents a share,
compared with estimates for a loss of 17 cents. Sales climbed by 5.1% to $593.1 million, narrowly
topping estimates from analysts for $585 million. The luxury retailer forecasted second-half and fullyear same-store sales growth in the mid-single digits and also detailed plans to shutter a pair of its
Saks Fifth Avenue stores in California and Texas.
Abercrombie & Fitch (ANF: 35.04 ,-2.61 ,-6.93%) saw its stock tumble nearly 7% even after the
teen apparel retailer beat the Street with a non-GAAP profit of 22 cents a share. Analysts had
been projecting EPS of 16 cents. It's possible shareholders were spooked by the company's gross
margins sliding from 66.6% to 65.1%. Also, A&F announced plans to shut down 60 domestic stores
and scaled back plans for international expansion.
Eli Lilly (LLY : 34.75 ,-0.83 ,-2.33%) slumped 2.3% after saying it is halting the development of its
experimental Alzhemiers drug semagacestat due to side effects. Also, the Food and Drug
Administration raised safety concerns about its blockbuster antidepressant drug Cymbalta.
TJX Cos. (TJX: 41.80 ,+0.49 ,+1.19%) posted an in-line non-GAAP second-quarter profit of 73
cents a share and a 6.8% rise in revenue to $5.07 billion. The parent of T.J. Maxx and Marshalls
also upped its full-year non-GAAP EPS guidance.
Global Markets
The U.K.'s FTSE 100 climbed 1.41% to 5350.55, France's CAC 40 rose 1.82% to 3663.13 and
Germany's DAX jumped 1.57% to 6206.40.
In Asia, Tokyo's Nikkei 225 sank 0.38% to 9161.68, Hong Kong's Hang Seng rose 0.12% to
21137.40 and China's Shanghai Composite gained 0.38% to 2671.89.
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The Hindu Stock brokers in a happy mood after the market went up. File Photo: Paul Noronha
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NEW YORK (CNNMoney.com) -- The bulls are back on Wall Street. After a
bearish August, stocks roared into September with a major rally Wednesday,
as investors cheered signs of strength in the manufacturing sector.
The Dow Jones industrial average (INDU) gained 256 points, or 2.2%.The
S&P 500 (SPX) soared 31 points, or 2.9%. The Nasdaq (COMP) composite
rallied 63 points, or 3%.
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"This market is looking for something to grab on to," said Mark Luschini, chief
investment strategist for Janney Montgomery Scott. "And for the moment it's
manufacturing."
The focus could shift to jobs Thursday morning when the government's weekly
report on initial claims for jobless benefits comes out. Investors will also take in
the latest readings on factory orders and pending home sales shortly after the
market opens.
"The manufacturing number is nice to hang your hat on, but the state of the
consumer is still paramount for what's happening in the economy, " said
Luschini.
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Meanwhile, payroll processing firm ADP reported that employers cut 10,000
jobs in August. Economists were expecting private sector employers to add
13,000 jobs during the month, after adding 37,000 in July.
A separate report showed that planned job cuts plummeted to a 10-year low in
August, as employers shed 34,768, down 17% from the previous month,
according to outplacement firm Challenger, Gray & Christmas.
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The reports come two days before the government's monthly report on jobs
and unemployment. Economists expect the government to report that the
economy lost 120,000 jobs in August, after employers cut payrolls by 131,000
in July. The unemployment rate is expected to edge up to 9.6% from 9.5%.
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Companies: General Motors, Ford Motor (F, Fortune 500) and Toyota (TM) all
reported disappointing sales Wednesday, kicking off what is expected to be
the worst August for industrywide auto sales in 27 years.
The drop in auto sales is partly a result of tough comparisons to the Cash for
Clunkers program of last summer.
Shares of Burger King Holdings (BKC) jumped 14%, following a report that the
fast food chain is considering a possible sale to buyout firms. The Wall Street
Journal reported that that private equity firms that have expressed interest in
money.cnn.com/2010/09/01//index.ht
2/5
01-Sep-2010
Apple's (AAPL, Fortune 500) stock was up 2.8% as the company held its
annual music-themed special event. CEO Steve Jobs is expected to unveil its
newest iPods and advances in the iTunes music store.
Shares of BP (BP) climbed 3.7% as the oil giant said it has agreed to sell its
interests in ethylene and polyethylene production in Malaysia to governmentowned Petronas for $363 million in cash.
World markets: European shares closed sharply higher. The FTSE 100 in
Britain jumped 2.7%, the CAC 40 in France added 3.8% and the DAX in
Germany gained 2.7%.
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SAN FRANCISCO -- Oil futures kicked off the first day of September with their best one-day gain
in nearly a month Wednesday, as a round of better global manufacturing data cast the demand
picture in a brighter light. Oil for October delivery ended floor settlement on the New York
Mercantile Exchange up $1.99, or 2.8%, at $73.91 a barrel. That was the biggest one-day gain
since August 2, according to FactSet Research. Heating oil futures added 5 cents, or 2.5%, to
$2.041 a gallon after Energy Department data showed a surprise drop in stockpiles. Gasoline
futures also gained, but natural gas futures turned lower ahead of Thursday supplies data, falling 5
cents, or 1.4%, to $3.76 per million British thermal units.
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6 SEP, 2010, 02.15PM IST,IANS
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At the National Stock Exchange (NSE), the broader 50share S&P CNX Nifty was ruling 1.63 percent higher at
5,568.55 points.
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Metals, energy, realty and IT scrips saw healthy buys. All 13 sectoral indices on the BSE were in the positive.
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Business Markets
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09-Sep-2010 6:05 PM
13-Sep-2010
Business Markets
The Hindu Sensex regained the crucial 19,000-level in early trade today, adding 287 points on fund-based buying driven by a firming global trend. File photo: Paul Noronha
The BSE benchmark Sensex surged by over 400 points past the psychological 19,000-mark on Monday after a gap of 32 months,
banking, refinery and metal stocks as investors bet big on sustained economic growth.
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thehindu.com//article628720.ece?hom
1/1
15-Sep-2010
Business Markets
Markets up for the 7th day in a row; Sensex gains 155 pts
37,
The Hindu Stock brokers react as they watch the share prices at a brokerage house in Mumbai. The 30-share Sensex of the Bombay Stock Exchange added 155.15 points to clo
19,502.11, a level last seen in January 2008. Photo: Paul Noronha
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thehindu.com//article647339.ece
1/1
17-Sep-2010
Business Markets
The Hindu Brokers at a brokerage house in Mumbai. File Photo: Paul Noronha
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thehindu.com//article674305.ece
1/1
18-Sep-2010
Business Markets
PTI A view of the Bombay Stock Exchange building in Mumbai. The countrys benchmark index has gained 1,373 points in the last two weeks of trading.
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thehindu.com//article696948.ece
1/1
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While driven by energy and consumer discretionary stocks, the latest burst of buying on Wall Street
didnt appear to be triggered by any new groundbreaking developments. Instead, the bulls cheered
on the S&P 500 breaking out above the closely-watched 1131 level, stronger-than-expected
earnings from home builder Lennar (LEN: 15.16 ,+1.18 ,+8.44%) and Discover Financial (DFS:
16.16 ,+0.60 ,+3.86%) and a new report declaring the recession officially ended in June 2009.
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5HFRPPHQG
10,753.62
+145.77
+1.37%
+40
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LAST 5 STOCKS
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4:02 PM
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Nearly every single stock that makes up the benchmark index closed in positive territory, led by
financial giants JPMorgan Chase (JPM: 41.09 ,+1.02 ,+2.55%), Bank of America (BAC: 13.72
,+0.32 ,+2.39%) and American Express (AXP: 43.09 ,+1.71 ,+4.13%). The index's worst
performers were Intel (INTC: 18.94 ,+0.09 ,+0.48%) and Cisco Sytems (CSCO: 21.75 ,-0.15 ,0.68%).
The buying on Wall Street gained momentum Monday morning as the S&P 500 climbed solidly
above the 1131 level, which had been a key area of resistance for months and was closely
watched by technicians.
It looks now like were going to be on a race for 1150, which is the next bout of resistance, said
Paul Nolte, managing director at Dearborn Partners.
However, some market watchers were preaching caution, saying the markets are due for at least a
short-term pullback from their recent surge.
"We have a trend that has definitely been very, very positive and broad-based. The trend is higher,
said Peter Kenny, managing director at Knight Capital Group.If youre not selling into this rally,
youve leaving yourself exposed to a sudden downdraft. Any rally that has lasted three weeks over
the past year has been subject to very sudden shifts.
Wall Street's economic concerns may have been eased a bit by the National Bureau of Economic
Research, which Monday morning declared the official end of the Great Recession. NBER said the
18-month recession ended in June 2009, marking the longest postwar downturn in U.S. history.
Two of the strongest-performing sectors Monday were consumer discretionary and energy stocks,
each of which benefited from the more upbeat mood on the economy. Leading the way higher in
the consumer discretionary sector was Office Depot (OD), which surged 10% in the wake of a
positive analyst note from Janney Montgomery Scott.
Energy stocks like Hess (HES: 56.63 ,+1.67 ,+3.04%) rallied as crude oil jumped $1.20 a barrel,
or 1.63%, to $74.86. Gold gained $3.40 a troy ounce, or 0.27%, to $1,279.00 -- another new
record settle.
On the earnings front, Lennar saw its stock soar 8% after saying it swung to a stronger-thanexpected fiscal third-quarter profit of 16 cents a share amid a 10% rise in deliveries. Discover
Financial rallied after beating the Street with EPS of 37 cents. Analysts had been projecting EPS
of just 38 cents.
Wall Street has also begun to set its sights on the Federal Reserve, which is set to begin a twoday policy meeting on Tuesday. The central bank isnt likely to raise interest rates amid the sluggish
economy, but it could update its economic forecast and announce new measures aimed at aiding
the recovery.
Mondays lone economic report produced little reaction in the markets. The National Association of
Realtors said its home-builder sentiment index unexpectedly stayed in September at an 18-month
low of 13.
Corporate Movers
BP (BP: 38.66 ,+0.63 ,+1.66%) announced it permanently killed the oil well in the Gulf of Mexico
that caused the worst spill in U.S. history. The U.K. oil major said its costs related to the spill
should start to decline
foxbusiness.com//futures-gain-bp-oil-
2/3
20-Sep-2010
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21-Sep-2010 2:41 PM
24-Sep-2010
Business Markets
The Hindu A scene outside the Bombay Stock Exchange. File photo: Paul Noronha
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DJIA
Nasdaq
10,860.26
2,381.22
+197.84
+1.86%
+54.14
S&P 5
1,148.6
+2.33%
+23.84
+2
Last
Change
% Cha
828.21
+14.50
+1.7
LAST 5 STOCKS
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FOX50
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828.21
+14.50
GS
147.16
0.00
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MSFT
MICROSOFT COR...
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The Dow Jones Industrial Average rose 197.84 points, or 1.86%, to 10860.26, the Standard &
Poor's 500 gained 23.84 points, or 2.12%, to 1148.67 and the Nasdaq Composite picked up 54.14
points, or 2.33%, to 2381.22. The FOX 50 added 14.50 points, or 1.78%, to 828.21.
Fridays buying binge landed Wall Street in the green for the fourth consecutive week and at its
highest level since May 12. The triple-digit rally was inspired by the latest economic report
supporting the bulls' case that fears of a double-dip recession were overblown this summer.
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1/3
25-Sep-2010
The news wasn't all positive, however, as the government said new home sales remained at
depressed levels in August. Still, the rally allowed Wall Street to quickly recoup Thursdays selloff,
its worst day in two weeks, and put the Dow up 8.44% this month -- on pace for its strongest
September since 1939.
The Dow, which is in the midst of its longest winning streak since the eight-week run ended in late
April, saw all 30 of its members close higher, led by Caterpillar (CAT: 79.78 ,0.00 ,0.00%), Alcoa
(AA: 12.15 ,0.00 ,0.00%) and Bank of America (BAC: 13.60 ,0.00 ,0.00%). The index's biggest
laggards were defensive plays AT&T (T: 28.58 ,0.00 ,0.00%) and Johnson & Johnson (JNJ:
62.17 ,0.00 ,0.00%).
The Nasdaq Composite has soared 12.64% so far this month, putting it on pace for its best
September since 1998. The index was led higher on Friday by tech stocks like Amazon.com
(AMZN: 160.79 ,0.00 ,0.00%) and Nvidia (NVDA: 12.27 ,0.00 ,0.00%).
There is still a great deal of skepticism on Wall Street about this month's surge, especially given
continued economic headaches in the form of stubbornly high unemployment and the weak housing
market.
I dont believe the fundamentals are there for a sustained rally at this point," said Frank Davis,
director of sales and trading at LEK Securities.
The bulls bid stocks sharply higher on Friday after the Commerce Department said U.S. durable
goods orders soared by 2% in August, doubling forecasts from economists and demonstrating solid
demand. It was also the largest increase since March 2010. The headline figure was less
impressive, slumping by 1.3%, compared with forecasts for a drop of 1%, but the report was
enough to send stocks like Siemens (SI: 106.88 ,0.00 ,0.00%) climbing.
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Some market watchers chalked up part of this months bullishness to further signs that Republicans,
who are seen as pro-business, are set to make serious gains in the midterm elections. If the GOP is
able to take the House of Representatives or even the Senate, Wall Street is betting political gridlock
will ensure, removing a cloud of uncertainty hanging over the markets. For further evidence of the
changing political winds, traders pointed to Democrats on Thursday deciding to punt a decision on
extending the Bush tax cuts until after the election.
This month's rally "is clearly an excellent showing. I dont think its primarily due to the economic
data, NYSE trader Doreen Mogavero told FOX Business. This is more of a political statement. We
see policy is starting to shift a little more to the center and be much more business-friendly.
Wall Street managed to shrug off a separate Commerce Department report revealing new home
sales were unchanged in August at a rate of 288,000 units -- matching the second-lowest reading
on record. However, the government upwardly revised July's sales rate from 276,000 units to
288,000 units.
A rally among home builders gained momentum in the wake of the data, with stocks like Pulte
Group (PHM: 8.41 ,0.00 ,0.00%) and Lennar (LEN: 15.23 ,0.00 ,0.00%) jumping about 3% a
piece. The group was also lifted by KB Home (KBH: 12.07 ,0.00 ,0.00%), which slashed its fiscal
second-quarter loss to 2 cents a share, solidly beating the Streets view for a loss of 15 cents a
share.
Commodity-related stocks were driven higher by the upbeat mood on Wall Street and the euro,
which soared 1.33% to $1.3488. Economically-sensitive copper rallied 0.79% a pound to $3.614.
Crude oil rose $1.31 a barrel, or 1.74%, to $76.49. Gold continued to break records, settling at an
all-time high for the seventh day of the last nine. Gold gained $1.70 a troy ounce, or 0.13%, to
$1,296.00.
Corporate Movers
General Electric's (GE: 16.67 ,0.00 ,0.00%) NBC Universal announced the resignation of CEO
Jeff Zucker, who said he will leave once Comcast (CMCSA: 18.55 ,0.00 ,0.00%) completes its deal
foxbusiness.com//futures-rise-slightly-
2/3
25-Sep-2010
HSBC (HBC: 52.60 ,0.00 ,0.00%) named Stuart Gulliver CEO after a power struggle at Europe's
largest bank forced the ouster of Michael Geoghegan. Douglas Flint, the bank's finance director, will
take over as chairman. The conflict blew up as the bank searched for a replacement for its
chairman, Stephen Green.
Citigroup (C: 3.90 ,0.00 ,0.00%) announced plans to boost CEO Vikram Pandit's salary from the
$1 he has earned the past two years. Citi, which is still partially owned by the U.S., said it plans to
award top execs incentive pay for the first nine months of 2010.
Nike's (NKE: 79.51 ,0.00 ,0.00%) stock rallied 2% to 52-week highs a day after the company beat
the Street with EPS of $1.14. Analysts had projected a profit of just $1.01 a share. Sales jumped
8% to $5.18 billion, missing forecasts for a rise to $5.22 billion.
Advanced Micro Devices (AMD: 6.84 ,0.00 ,0.00%) saw its shares soar almost 7% even after the
chip maker warned of a sequential drop in revenue due to weaker notebook demand. AMD said it
sees third quarter revenue falling 1% to 4% from the prior quarter.
Global Markets
The U.K.'s FTSE 100 rose 0.93% to 5598.48, France's CAC 40 soared 1.94% to 3782.48 and
Germany's DAX jumped 1.84% to 6298.30.
In Asia, Tokyo's Nikkei 225 sank 0.99% to 9471.67, Hong Kong's Hang Seng gained 0.33% to
22119.40 and China's Shanghai Composite added 0.11% to 2591.55.
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Business Markets
PTI A graphic presentation of the Sensex figures last week. On Saturday, the sensex closed at 20,045.18 points. (at right top).
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thehindu.com//article798665.ece
1/1
30-Sep-2010
Business Markets
PTI Market analysts attributed the last-minute buying to investors covering their long positions on the last day of monthly expiry in the derivatives segment.
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NEW YORK (CNNMoney.com) -- U.S. stocks fizzled Thursday, but that didn't
stop the market from logging its best September in decades.
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And only 18 of the S&P 500 were down on the month. Carmax (KMX, Fortune
500), JC Penney (JCP, Fortune 500) and Office Depot (ODP, Fortune 500)
are among the biggest gainers on the broader index.
"There was a lot of talk this summer about a double-dip recession, and while
it's true things have slowed down, the technicals have really changed and it's a
much more healthy environment now," said Kenny Landgraf, principal at
Kenjol Capital Markets.
Economy: The number of Americans filing for unemployment insurance
edged down to 453,000 in the week ended Sept. 25, according to the Labor
Department. The figure was slightly better than the 457,000 jobless claims
economists had expected.
"The big bash against this recovery has been that it's a jobless recovery ... so
investors are obviously going to take that [report] well," said Landgraf.
Meanwhile, the Commerce Department released its final reading on secondquarter gross domestic product, raising it slightly to a gain of 1.7% from the
previously reported 1.6%.
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Ireland's central bank unveiled a bank bailout that could reach about $46
billion. Ireland's budget deficit is on track to hit 10 times the European Union
guidelines for eurozone members. Meanwhile, Moody's downgraded Spain's
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"These are just further signs that we've covered up the European financial
situation and tried to push it aside, but it's really still a big issue," said Dean
Barber, president of Barber Financial group.
European stocks slumped. France's CAC 40 fell 0.6%, Britain's FTSE 100
dipped 0.4% and Germany's DAX lost 0.3%.
Asian markets shares ended mixed. The strong yen continues to plague
Japanese stocks, with the Nikkei ending down 2%. The Hang Seng in Hong
Kong lost 0.1%, while the Shanghai Composite rose 1.7%.
Companies: AIG (AIG, Fortune 500) took a major step toward paying back its
government bailout Thursday, after announcing an agreement to pay down its
debt to U.S. taxpayers. Part of this includes the insurer's plan to sell its Japanbased units for $4.8 billion. Shares of AIG gained more than 4%.
Shares of Johnson & Johnson (JNJ, Fortune 500) slipped less than a percent
after CEO William Weldon took responsibility for the company's recall issues
and admitted to hiding a Motrin recall effort.
Overall, Johnson & Johnson's stock has emerged unscathed from the recall
issue as investors have largely shrugged off the issue since there were no
reports of people getting sick.
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foxbusiness.com//stocks-poised-start-
1/5
12-Jan-2011
The Dow Jones Industrial Average rose 83.56 points, or 0.72%, to 11755.44, the Standard &
Poor's 500 gained 11.48 points, or 0.90%, to 1285.96 and the Nasdaq Composite jumped 20.50,
or 0.75%, to 2737.33. The FOX 50 added 7.95 points, or 0.87%, to 919.86.
Global markets kicked off the bullishness early in the day as traders breathed a sigh of relief after
Portugal successfully auctioned off nearly $2 billion of bonds and the buying gathered momentum in
the wake of a favorable analyst note upgrading the U.S. banking sector. Thanks to the rally, the
Dow landed at levels unseen since August 2008.
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Despite the snowstorm hitting the northeast, the New York Stock
Exchange opened on time without any problems. However, the
inclement weather did appear to weigh a bit on trading volumes.
Underscoring the enthusiasm for bank stocks, the Dow was led
higher by financial giants JPMorgan Chase (JPM: 44.72, 0.00,
0.00%) and Bank of America (BAC: 15.04, N/A, N/A%). The
weakest blue-chip stocks were Alcoa (AA: 16.25, N/A, N/A%)
and Walt Disney (DIS: 39.18, 0.00, 0.00%).
The Nasdaq Composite, which has outperformed the broader
markets, saw more modest gains. The index was kept afloat by
rallies from tech stocks like Nvidia (NVDA: 23.34, 0.00, 0.00%)
and Symantec (SYMC: 17.62, 0.00, 0.00%).
The triple-digit rally comes after soaring crude oil nudged Wall
Street modestly higher on Tuesday, ending the Dow's three-day
slump.
LAST 5 STOCKS
Ticker
Company
FOX50
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4:05 PM
GS
THE GOLD
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Wednesday's optimism was fueled initially by debt-ridden Portugal, which despite being at the
epicenter of the debt crisis, managed to sell the maximum allotted $1.62 billion of debt in a highlyanticipated bond auction. The successful sale comes amid continued reports of pressure from
fellow European Union members on Portuguese officials to accept what analysts see as an
inevitable bailout.
Buoyed by the debt sale, the cost to insure the debt of European financial companies eased and
the euro recaptured the $1.31 level, surging 1.25% to $1.3129. European banks such as Barclays
(BCS: 19.08, 0.00, 0.00%) and HSBC (HBC: 56.27, 0.00, 0.00%) also rallied around the easing
tensions there. The attention will now shift to key auctions of Spanish and Italian debt later this
week.
foxbusiness.com//stocks-poised-start-
2/5
12-Jan-2011
FoxBusiness.com - Bulls Retake Control,
In the U.S., the Treasury Department had no problem on Wednesday auctioning off $21 billion of
10-year notes at a solid bid-to-cover ratio.
The rally also received a jolt from the financial sector, which leaped 1.7% thanks to an upgrade of
the U.S. banking sector to overweight by Wells Fargo. The brokerage cited tumbling credit costs
and positive loan growth and projected the industrys earnings will soar 59% and dividend payout
ratios will double to 25% to 30%.
Wells Fargo tapped BofA, PNC (PNC: 62.22, 0.00, 0.00%), Comerica (CMA: 42.00, 0.00,
0.00%), Goldman Sachs (GS: 171.90, 0.00, 0.00%) and JPMorgan as its top ideas for 2011.
In the commodities complex, crude oil built on its best day since December 1. Crude gained 75
cents a barrel, or 0.82%, to $91.86 -- its highest settle since October 2008. Gold advanced $1.70
a troy ounce, or 0.12%, to $1,385.70.
On the economic front, U.S. markets barely moved after the government said import prices rose
1.1% in December, easing back from November's 1.5% jump but still marking the largest threemonth gain in more than a year. Export prices ticked up 0.7%.
Wall Street also had little reaction to the Federal Reserve's Beige Book, which showed that while
housing still remained depressed at the end of the year, labor markets appeared to be "firming."
The anecdotal economic snapshot from the central bank's regional branches indicated "economic
activity continued to expand moderately."
Corporate Movers
American International Group (AIG: 58.40, N/A, N/A%) inked a $2.16 billion all-cash deal to sell
its Taiwan Nan Shan Life business to a group led by conglomerate Ruentex, potentially ending a
15-month process to unload the unit. The bailed-out insurance giant plans to use the proceeds to
pay down its debt to U.S. taxpayers. A $2.15 billion bid last year to sell the business was blocked
by a regulator.
ITT (ITT: 61.50, 0.00, 0.00%) soared 16% to two-year highs after unveiling plans to break itself
into three publicly traded companies that focus on water, defense and engineering. Under the plan,
ITT shareholders would own shares in all three corporations. ITT said it expects to finalize and
execute the split before the end of the year.
Zale (ZLC: 5.76, N/A, N/A%) surged 43% to 15-month highs after revealing an 8.5% leap in holiday
season sales, bouncing back from a 12% dive a year ago. Holiday sales account for nearly a third
of Zales annual sales.
Advanced Micro Devices (AMD: 8.38, N/A, N/A%) board of directors fretted about Dirk Meyers
strategy for getting AMDs chips into new gadgets like tablets before kicking the CEO out of the CSuite this week, The Wall Street Journal reported. The board replaced the well-respected Meyer
with Thomas Seifert, its chief financial officer, until it can find a permanent replacement. The move
helped fuel a 9% plunge in AMDs stock on Tuesday.
Global Markets
The U.K.'s FTSE 100 gained 0.61% to 6050.72, Germany's DAX rallied 1.83% to 7068.78 and
France's CAC 40 jumped 2.15% to 3945.07.
foxbusiness.com//stocks-poised-start-
3/5
12-Jan-2011
FoxBusiness.com - Bulls Retake Control,
In Asia, Japan's Nikkei 225 inched up 0.02% to 10512.80, Hong Kong's Hang Seng advanced
1.54% to 24125.60 and China's Shanghai Composite advanced 0.62% to 2821.30.
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The Hindu : Business / Markets : Sensex gains for 2nd day, rises by 210 pts
1 of 1
http://www.thehindu.com/business/markets/article1099489.ece
Business Markets
Sensex gains for 2nd day, rises by 210 pts
37,
PTI A graphic presentation of Monday's closing figures of the Sensex. From yesterday's close of 18,882 points, the 30-share index
rose by 152.11 points to 19,034.36 points in morning trade on Tuesday.
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18-Jan-2011 9:13 AM
18-Jan-2011
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DJIA
11,837.93
+50.55
+0.43%
+10.
Last
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Reuters
1/4
18-Jan-2011
FoxBusiness.com - Stocks Stay Hot as M
points, or 0.38%, to 2765.85. The FOX 50 lost 1.94 points, or 0.21%, to 922.83.
Instead of worrying about Apple (AAPL: 346.91, -1.29, -0.37%) and Citigroups (C: 4.83, -0.29, 5.66%) results, Wall Street focused on upcoming results from Google (GOOG: 642.79, +20.04,
+3.22%), enthusiasm for Boeing's (BA: 72.49, +2.44, +3.48%) new 787 Dreamliner schedule and
a surge for the closely-watched euro.
The trend continues to be really constructive, with earnings driving, said Peter Kenny, managing
director at Knight Capital Group. The market has definitely shaken off Jobs. Weve been
inoculated to that story.
The Dow landed at a level unseen since June 2008 -- nearly three months before the implosion of
Lehman Brothers that cratered the economy. Most of the benchmark index's 30 components
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Tuesday's resiliency is nothing new on Wall Street as the S&P 500 last week capped off its
seventh consecutive weekly rally, the longest such streak since May 2007. Wall Street was closed
on Monday in observance of Martin Luther King Day.
Tech traders breathed a sigh of relief as Apple slashed its early 6.5% dive despite question marks
about the health of Jobs, its co-founder. Few companies' fortunes are thought to be as closely
aligned to their CEO as Apple's with Jobs, who is its chief visionary.
While Jobs said he is staying on as CEO, Tim Cook, Apple's respected chief operating officer, will
take control of day-to-day operations. Apple could give new clues about the reason for Jobs's
medical leave and when he is expected back when it releases its quarterly results after Tuesday's
close.
Wall Street also shook off a 5% dive for Citigroup, which disappointed shareholders with a fourthquarter profit of 4 cents a share, trailing consensus calls for 8 cents. The No. 3 U.S. bank's
revenue more than doubled to $18.37 billion, but badly missed the Street's view for $20.4 billion.
On the other hand, Boeing provided a boost to the markets, jumping 3% after saying it sees its
787 Dreamliner deliveries finally beginning in the third quarter. While that marks the seventh official
delay to the program, shareholders breathed a sigh of relief at the new timetable and the fact
Boeing doesnt see a material impact on its 2010 results.
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Likewise, U.S. markets cheered the soaring euro, which climbed above its 100-day moving average
and leaped 0.68% to $1.3381. Wall Street tends to benefit from a weaker U.S. dollar because it
makes exports cheaper.
In the commodities complex, crude oil fell 16 cents a barrel, or 0.17%, to $91.38. Gold gained
$7.70 a troy ounce, or 0.57%, to $1,368.10.
foxbusiness.com//markets-poised-mix
2/4
18-Jan-2011
FoxBusiness.com - Stocks Stay Hot as M
Wall Street had little reaction to the New York Federal Reserves Empire State Manufacturing
index, which soared in January to 11.92, nearly meeting forecasts for 12. The index stood at just
11.92 in December. Also, the National Association of Home Builders said its January home builder
sentiment index remained at its very low level of 16 for the third straight month.
Corporate Movers
Comcast (CMCA) won approval from both the Federal Communications Commission and the
Justice Department to acquire control of General Electric's (NYSE:GE) NBC Universal. However,
the DOJ said Comcast must relinquish management of Hulu, the online video distributor, and the
FCC included a number of restrictions as well.
Delta Air Lines (DAL: 11.71, -1.02, -8.01%) descended 8% after revealing weaker-than-expected
non-GAAP EPS of 19 cents. Analysts had been calling for EPS of 24 cents. The No. 2 U.S. airliner
said its operating revenue advanced 14% to $7.79 billion, beating the Streets view, but operating
expenses rose 9% to $644 million, led by a 39% increase in maintenance.
Smith & Nephew (SNN: 56.83, +1.96, +3.57%) rallied nearly 4% to 52-week highs after the U.K.s
Sunday Times reported Johnson & Johnson (JNJ: 62.12, -0.38, -0.62%) is considering a new
buyout bid worth at least 800 pence a share for Europes No. 1 replacement joint company. The bid
would value Smith & Nephew at $11.3 billion and come after a tentative approach was rebuffed last
year.
Yum! Brands (YUM: 49.20, +1.38, +2.89%) revealed it plans to auction off its Long John Silver's
and A&W All-American Food Restaurant brands because it doesn't believe they fit into its long-term
growth strategy. The parent of Pizza Hut and Taco Bell said it doesn't see a material impact from
the eventual sale.
TD Ameritrade (AMTD: 21.16, +0.51, +2.47%) grew its fiscal first-quarter profits by 6.5% to 25
cents a share, matching Wall Streets expectations. Revenue rose 5% to $656.2 million, topping
forecasts. Total client assets jumped 21% to a new record of $386 billion.
Charles Schwab (SCHW: 18.87, +0.06, +0.32%) posted an in-line 33% rise in non-GAAP earnings
to 10 cents a share. The online brokerage's revenue increased 14% to $1.13 billion, narrowly
exceeding expectations.
Walt Disneys (DIS: 39.40, +0.13, +0.33%) ABC network is losing veteran broadcaster Regis
Philbin, who announced plans to retire from Life With Regis and Kelly after 25 years. Philbin said
he will step down around the end of the summer.
Global Markets
The U.K.'s FTSE 100 rose 1.18% to 6056.43, Germany's DAX jumped 0.92% to 7143.45 and
France's CAC 40 rallied 0.94% to 4012.68.
In Asia, Japan's Nikkei 225 inched up 0.15% to 10519, Hong Kong's Hang Seng slipped 0.01% to
24154 and China's Shanghai Composite gained 0.09% to 2708.98.
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18-Jan-2011
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By Matt Egan
Published January 24, 2011 | FOXBusiness
DJIA
11,980.52
+108.68
+0.92%
+28.
Last
926.9
Today's Markets
The Dow Jones Industrial Average rose 108.68 points, or 0.92%, to 11980.52, the Standard &
Poor's 500 gained 7.49 points, or 0.58%, to 1290.84 and the Nasdaq Composite jumped 28.01
points, or 1.04%, to 2717.55. The FOX 50 picked up 5.91 points, or 0.64%, to 926.93.
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The impressive rally marked Wall Street's strongest performance since December 2. It also put the
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foxbusiness.com//futures-float-higher/
1/4
24-Jan-2011
FoxBusiness.com - Dow Barrels Toward
Dow on track to bring its weekly win streak to nine -- a feat it hasn't accomplished since May 1995
-- and allowed the Nasdaq Composite to recapture a chunk of the ground it lost during last week's
three-day slump.
Disney
Medtronic
There didn't appear to be any major catalysts for the solid rally on Wall Street, but it was
supported by strong gains in the tech and materials sectors and by a big stock buyback from chip
giant Intel (INTC).
BB&T
As long as oil stays off and the dollar doesnt get too decimated, I think the market can hold its
spot and edge higher, said Frank Davis, director of sales and trading at LEK Securities.
The latest advance left the Dow in striking distance of the psychologically-important 12000 level, a
threshold it hasn't closed above since June 2008 -- three months before the implosion of Lehman
Brothers that rocked the economy.
However, it's worth noting Monday's rally took place on the lightest trading volume of the new year,
perhaps indicating lingering skepticism by some.
People are not necessarily jumping into the market but easing into it and supporting this rally, said
Davis.
The Dow landed at its highest level since June 19, 2008. Most of the benchmark index's 30 stocks
advanced, led by aluminum maker Alcoa (AA) and IBM (IBM). The index's weakest links were
financial giants Bank of America (BAC) and American Express (AXP).
The Nasdaq Composite enjoyed even heavier buying, led higher by tech stocks Apple (AAPL) and
Nvidia (NVDA).
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Intel fueled some of the enthusiasm by boosting its stock buyback plan by $10 billion, bringing its
total to $14.2 billion. The tech bellwether also increased its quarterly dividend by 15% to 18.12
cents a share. Nvidia surged 11% in the wake of a positive mention in Barron's that highlighted its
new mobile chips for tablets and smartphones.
Wall Street was led higher by the basic materials sector, which jumped 1% amid strong gains from
stocks such as mining titan Rio Tinto (RIO) and Alcoa. The group benefited from a weaker U.S.
dollar and a 0.97% jump in copper prices to $4.3415 a pound.
Even McDonald's (MCD) closed modestly higher despite reporting an in-line 2.1% rise in fourthquarter profits on weaker-than-expected sales of $6.21 billion. Traders will receive another batch
of corporate earnings after the close from other major companies like Amgen (AMGN) and Texas
Instruments (TXN).
On the commodities front, crude oil fell $1.24 or 1.39%, a barrel to $87.87. Gold declined $3.50 a
troy ounce, or 0.26%, to $1,344.50.
Corporate Movers
Sara Lee (NYSE:SLE ) is mulling competing buyout bids, The Wall Street Journal reported.
Brazilian beef processor JBS is expected to make a new bid and a group of private-equity firms led
by Apollo Global Management and Bain Capital submitted a bid for between $18 and $19 a share,
the paper said. However, Sara Lee would only be willing to sell in the low $20s a share and it could
still decide to split itself up.
foxbusiness.com//futures-float-higher/
2/4
24-Jan-2011
RadioShack (RSH) tumbled 11% to 52-week lows after warning it sees fourth-quarter earnings of
50 cents to 54 cents on sales of $1.37 billion. Analysts had called for much stronger EPS of 66
cents. The electronics retailer also said CEO Julian Day plans to step down, suggesting to some
analysts a sale isnt imminent.
Google (GOOG) plans to pay outgoing CEO Eric Schmidt $100 million in equity awards, the
company said in regulatory filings. Google shocked the tech world last week by saying Schmidt will
step down as CEO and be replaced by co-founder Larry Page. Schmidt will stay on as executive
chairman.
Halliburton (HAL) beat the Street with a non-GAAP profit of 68 cents a share and a 40% surge in
revenue to $5.16 billion. The world's No. 2 oilfield services company had been expected to earn 63
cents a share on $4.88 billion in revenue.
Global Markets
The U.K.'s FTSE 100 gained 0.81% to 5943.85, Germany's DAX advanced 0.08% to 7067.77 and
France's CAC 40 closed up 0.39% to 4033.21.
In Asia, Japan's Nikkei 225 advanced 0.69% to 10345.10, Hong Kong's Hang Seng lost 0.31% to
23801.80 and China's Shanghai Composite slumped 0.72% to 2695.72.
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Economy
DJIA
Nasdaq
12,040.16
2,751.19
+148.23
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Published February 01, 2011 | FOXBusiness
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FOX Business: The Power to Prosper
Wall Street flipped the calendar to February with bullish enthusiasm on
Tuesday as the Dow surged beyond 12000 and the S&P 500 conquered 1300
for the first time in two-and-a-half years amid enthusiasm for impressive
manufacturing and earnings reports from around the world.
Today's Markets
The Dow Jones Industrial Average jumped 148.23 points, or 1.25%, to
12040.16, the Standard & Poor's 500 gained 21.47 points, or 1.67%, to 1307.59
and the Nasdaq Composite rose 51.11 points, or 1.89%, to 2751.19. The FOX
50 added 16.16 points, or 1.76%, to 932.50.
The burst of buying represented Wall Street strongest performance since
December 1 and comes on the heels of the markets' hottest January since
1997.
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Oil above $101 on Egypt port disruptions, dollar - The Economic Times
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In Cairo at least 1 million Egyptians took to the streets to protest with other mass anti-government rallies being
staged in other key cities.
"The more alarming the news is from the region, the more nervous the market is and the higher the political
premium," said Eugen Weinberg an analyst Commerzbank's senior commodity analyst, adding that a weaker
dollar also supported higher prices.
MOST READ
The dollar fell to its lowest level against the Euro on Tuesday after the Euro zone released strong economic
data.
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While Egypt is a minor player on oil markets, it controls two major transit points, the Suez canal and the Sumed
pipeline that brings oil from the Red Sea to the Mediterranean. So far analysts and traders say supply
disruptions along these routes are unlikely.
The International Energy Agency said on Tuesday the oil market does not face any emergency, but called on
OPEC to remain "flexible" in the event that contagion does spread and shortages begin to show.
The top oil official for OPEC member Libya told Reuters OPEC does not need to meet to discuss oil policy in
February because the market is well supplied and prices of $100 are justified.
The Organization of the Petroleum Exporting Countries says it holds about 6 million barrels per day (bpd) of
idle production capacity -- equal to 7 percent of world demand -- that it could tap to fill any shortage. Most of
this capacity is held by Saudi Arabia.
"The market moves on the what-if factor, so you can't rule it out," said Toni Machacek, an oil broker at Bache
Commodities.
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Oil above $101 on Egypt port disruptions, dollar - The Economic Times
"But if there is a significant reduction of tensions in Egypt we will settle back to more normal levels and go
below $100 to the upper 90-dollar range we had for the first few weeks in the year."
The market expects the U.S. Energy Department to show high crude inventories in data to be released on
Wednesday, which analysts said could further pressure U.S. crude futures.
According to a Reuters poll of analysts, U.S. crude inventories likely rose 2.8 million barrels last week on higher
imports, while colder weather drew down distillate stockpiles by 1.2 million barrels.
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The Dow Jones industrial average gained 148.23 points, or 1.25 percent, to 12,040.16. The Standard & Poor's
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1.89 percent, to 2,751.19.
The S&P 500 closed above 1,300 for the first time since August 2008.
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MARKET SNAPSHOT
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DJIA
12,161.63
+69.48
+0.57%
+10.
Last
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Reuters
Today's Markets
AMD Shares Rally Afte
The Dow Jones Industrial Average rose 69.48 points, or 0.57%, to 12161.63, the Standard &
Poor's 500 gained 8.18 points, or 0.62%, to 1319.05 and the Nasdaq Composite jumped 14.69
foxbusiness.com//futures-tick-higher/
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FoxBusiness.com - Bulls Feast on Deals,
points, or 0.53%, to 2783.99. The FOX 50 picked up 6.90 points, or 0.74%, to 939.99.
The red-hot markets continue to mount their offensive, largely shrugging off continued political
uncertainty in the Middle East and consistently disappointing monthly labor reports. The latest rally
left the blue chips in territory unseen since June 2008 -- three months before the implosion of
Lehman Brothers that rocked the global economy.
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14.69, +0.33, +2.30%). The weakest links from the index, were
Pfizer (PFE: 19.03, -0.26, -1.37%) and Kraft (KFT: 30.88, 0.32, -1.03%).
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The gains come after the Dow rallied 260 points last week -- its
ninth weekly gain of the past 10 -- and the Nasdaq leaped 3.07%
for its best week since June 2010.
Without any major economic or earnings reports to use for
guidance, much of the focus was on a trio of acquisitions
announced on Monday: Danaher (DHR: 49.01, +1.05,
+2.19%)scooped up medical diagnostics company Beckman
Coulter (BEC: 82.63, +7.45, +9.91%) for about $6.8 billion, oil
driller Ensco (ESV: 52.12, -2.28, -4.19%) bought rival Pride
International for $7.3 billion and AOL (AOL: 21.19, -0.75, 3.42%) will swallow The Huffington Post for $315 million.
Wall Street typically cheers strategic acquisitions such as the ones unveiled already this week
because it often leads to more deals and shows companies are confident enough about the
economy to shell out the big bucks.
Monday's rally underscores Wall Street's ability to continue to shrug off the turmoil in Egypt. Fears
that the chaos there would spill over into oil-producing nations like Saudi Arabia or cause the
closure of the crucial Suez Canal have still not been realized, relieving the bulls in the markets.
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In a clear sign of the receding worries, crude oil, which relies on the Suez Canal for transport out of
the Middle East, backed away from its crisis highs for the fourth day of the last five. Crude settled
at $87.48 a barrel, down $1.55, or 1.74%. Gold gained 70 cents a troy ounce, or 0.05%, to
$1,347.60.
In the only noteworthy piece of economic data on the agenda, the Federal Reserve said U.S.
foxbusiness.com//futures-tick-higher/
2/4
07-Feb-2011
FoxBusiness.com - Bulls Feast on Deals,
consumer credit jumped by $6.1 billion in December -- nearly tripling forecasts from economists for
a rise of just $2.3 billion. The report is a sign consumers have been confident enough to increase
their credit-card debt.
Corporate Movers
AOL (AOL: 21.19, -0.75, -3.42%) unveiled plans to acquire online news site The Huffington Post
for $315 million. As part of the deal, Arianna Huffington will become editor-in-chief of a new AOL
division housing its content and The Huffington Post. AOL said it will use $300 million of cash on its
balance sheet to pay for the deal.
Danaher (DHR: 49.01, +1.05, +2.19%) acquired medical diagnostics company Beckman Coulter
(BEC: 82.63, +7.45, +9.91%) for about $6.8 billion, marking a 45% premium before rumors of a
potential deal began swirling. The all-cash deal places an $83.50-a-share value on Brea, Calif.based Beckman, which makes and markets biomedical testing instrument systems, tests and
supplies.
Ensco (ESV: 52.12, -2.28, -4.19%) bid $7.3 billion for rival Pride International (PDE: 39.80,
+5.42, +15.76%) in a marriage that would create the second-largest offshore oil and gas driller in
the world. The $41.60-a-share deal puts a 21% premium on Pride.
News Corp.'s (NWSA: 16.59, -0.29, -1.72%) FOX network set a new all-time ratings record by
drawing 111 million viewers for its coverage of Super Bowl XLV. The figures topped the 106.5
million viewers that tuned into last year's game. News Corp. is the parent of FOX Business.
Nasdaq OMX Groups (NDAQ: 26.78, +0.41, +1.55%) Nasdaq Stock Market acknowledged a
confidential document-sharing service was been hacked into, perhaps in an effort to find nonpublic
inside information that could be illegally traded on. Nasdaq said it has notified its customers and is
consulting with authorities.
Hasbro (HAS: 45.64, +0.82, +1.83%) beat the Street with a non-GAAP profit of $1.02, compared
with forecasts for 92 cents. However, the toy maker's sales fell 7% to $1.28 billion, trailing
consensus calls for $1.3 billion.
Global Markets
The U.K.'s FTSE 100 rose 0.89% to 6051.03, Germany's DAX gained 0.93% to 7283.62 and
France's CAC 40 leaped 1.08% to 4090.80.
In Asia, Japan's Nikkei 225 advanced 0.46% to 10592, Hong Kong's Hang Seng slumped 1.49%
and China's Shanghai Composite closed up 0.30% to 2798.96..
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By Matt Egan
Published February 08, 2011 | FOXBusiness
DJIA
12,233.15
Share
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Wall Streets 2011 buying binge gained further momentum Tuesday as McDonalds led the blue
chips to fresh two-and-a-half-year highs and to their first seven-day surge since July.
Today's Markets
The Dow Jones Industrial Average jumped 71.52 points, or 0.59%, to 12233.15, the Standard &
Poor's 500 gained 5.52 points, or 0.42%, to 1324.57 and the Nasdaq Composite advanced 13.06
points, or 0.47%, to 2797.05. The FOX 50 added 5.09 points, or 0.54%, to 944.08.
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08-Feb-2011
FoxBusiness.com - McDonalds Serves U
Ever since shaking off fears about the turmoil in Egypt, Wall Street has been on a steady climb
higher amid general enthusiasm about the strengthening economy, strong corporate profits and
new life in the M&A market.
Wall Street proved its resilience once again on Tuesday as the markets largely shrugged off
concerns China's third interest rate hike since October would hurt global growth and demand for
commodities. Instead, most of the focus was on McDonald's (MCD: 75.36, +1.91, +2.60%)
impressive same-store sales growth.
Nobody seems to want to sell this market. Everyone is waiting for a pullback, but they are waiting
to be a buyer, not a seller, said Marc Pado, U.S. market
strategist at Cantor Fitzgerald.
Thanks to Tuesday's solid rally, the Dow closed at its best level since June 2008. The seven-day
streak is Wall Street's longest since July 14 and the 3.4% jump
over that span marks its strongest seven-day performance since
September.
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The Nasdaq Composite posted lighter gains, but still landed un territory unseen since November
2007 amid rallies for Amazon.com (AMZN: 183.19, +6.77, +3.84%) and eBay (EBAY: 32.63,
+0.39, +1.21%).
There are some signs the recent rally on Wall Street may be running out of steam. In a potential
sign of a lack of faith in Tuesday's rally, the New York Stock Exchange's consolidated volume was
the slowest of the year.
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Pado points to a lack of leadership and an inflow of cash into large-cap stocks instead of the
smaller companies that represent "risk and conviction."
Were coasting up hill," said Pado. "You dont really have the momentum or the fuel but you are
still coasting higher. Short term, its a little disconcerting.
Much of the credit for Tuesday's rally can go to the consumer discretionary sector, which jumped
more than 1% in the wake of McDonald's saying its same-store sales soared 5.3% last month.
Analysts had called for a rise of just 3.7%. The upbeat report is the latest sign consumers continue
to increase their spending and helped boost other consumer stocks like Macy's (M: 24.27, +0.76,
+3.23%) and Saks (SKS: 11.81, +0.36, +3.14%).
Wall Street proved to be unfazed by the latest efforts by China to cool off its red-hot economy.
China's central bank announced plans Tuesday to boost its interest rate by 0.25 percentage point.
Wall Street pays close attention to the monetary policy moves by China because of its outsized
role in driving global growth and its voracious appetite for commodities.
In the wake of the China move, crude oil fell 54 cents a barrel, or 0.62%, to $86.94. Gold jumped
$15.80 a troy ounce, or 1.17%, to $1,363.40.
foxbusiness.com//premarkets-signal-t
2/4
08-Feb-2011
Some big tech stocks such as Hewlett-Packard (HPQ: 48.14, -0.01, -0.02%) and Intel (INTC:
21.65, -0.04, -0.18%) were under pressure from a Goldman Sachs note lowering its 2011 PC unit
growth forecast to 6.4% from 8% due in part to strength from tablet devices.
Corporate Movers
ArcelorMittal (MT: 38.31, +1.58, +4.30%) jumped 4% after predicting demand will improve in
2011, returning to full-year profits and posting a 19% jump in quarterly sales to $20.7 billion.
Toyota (TM: 88.64, +3.47, +4.07%) hiked its full-year profit view to a stronger-than-expected
$5.96 billion despite a 39% slide in quarterly profits.
NYSE Euronext (NYX: 33.40, -0.29, -0.86%) posted a 20% slide in fourth-quarter profits, but
surpassed estimates with non-GAAP EPS of 46 cents a share. The parent of the New York Stock
Exchange said revenue fell 4% to $613 million, essentially matching the Streets view.
Kindred Healthcare (KND: 25.01, +5.53, +28.39%) inked a $900 million cash-and-stock deal to
acquire rival RehabCare Group (RHB: 37.02, +11.57, +45.46%). The deal translates to $35-ashare, putting a 37% premium on RehabCare. Both companies also posted fourth-quarter earnings
beats.
Sara Lee (SLE: 17.16, +0.24, +1.42%) said it earned 25 cents a share on a non-GAAP basis,
trailing the Streets view by a penny. The maker of Hillshire Farm lunch meats and BallPark hot
dogs backed its full-year guidance, but said its sales declined 0.4% to $2.35 billion, significantly
lower than the $2.52 billion analysts had called for.
Warner Music Group (WMG: 5.60, -0.64, -10.26%) tumbled 10% in the wake of disclosing a
deeper quarterly loss of 12 cents a share. Sales at the No. 3 music company slid by a deeperthan-expected 14% to $789 million.
Avon Products (AVP: 28.49, -0.86, -2.93%) slid 3% after saying its fourth-quarter profits fell 15%
and posting a non-GAAP profit of 59 cents a share. Analysts had called for EPS of 67 cents. Avon,
which is the largest direct seller of cosmetics in the world, missed estimates with sales of $3.18
billion.
Global Markets
The U.K.'s FTSE 100 rallied 0.67% to 6091.33, Germany's DAX gained 0.54% to 7323.24 and
France's CAC 40 closed up 0.43% to 4108.27.
In Asia, Japan's Nikkei 225 advanced 0.41% to 10636, Hong Kong's Hang Seng slumped 0.29%
to 23484.30 and China's Shanghai Composite remained closed.
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Business Markets
Sensex rises 473 points on easing inflation
37,
PTI A stock broker reacts while looking at Sensex stock index at brokerage firm in Mumbai. File photo
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2/2
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Sensex spurts 206 points on fresh fall in food inflation
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thehindu.com//article1464882.ece
1/2
17-Feb-2011
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The Dow, which closed at its highest level since June 5, 2008,
was led higher by Caterpillar (CAT: 105.86, +2.47, +2.39%)
and Traveler's (TRV: 60.93, +1.14, +1.91%). The index's
weakest links were American Express (AXP: 45.52, -0.28, 0.61%) and Pfizer (PFE: 19.23, -0.15, -0.77%).
Shares Slide
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After a busy beginning of the week, there weren't any major economic or earnings reports released
on Friday.
However, traders were watching shares of tech titan Apple, which retreated after The Wall Street
Journal reported U.S. regulators have begun to look at the terms it set this week for media
companies to sell their content on the iPad and other devices. The report marks the latest antitrust
scrutiny facing Steve Jobs-run Apple.
Energy stocks had been the leaders but fell out of favor after crude oil took an afternoon dive.
Crude settled down 16 cents a barrel, or 0.19%, to $86.20. Gold gained $3.50 a troy ounce, or
0.25%, to $1,388.20.
Corporate Movers
Campbell Soup (CPB: 33.57, -1.36, -3.89%) slumped 4% to 52-week lows after reporting in-line
quarterly results, but slashing its full-year guidance. Campbell said it now sees EPS declining 1% to
3% in 2011, compared with its earlier view for a rise of 2% to 4%.
Intel (INTC: 22.14, +0.18, +0.82%) unveiled plans to build a $5 billion chip factory in Arizona that
the company said will be the most advanced, high volume semiconductor manufacturing facility in
the world. Intel said the factory will create thousands of construction and permanent
manufacturing jobs.
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Calpine (CPN: 14.81, +0.10, +0.68%) said it lost 5 cents a share as its revenue declined 4.7% to
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$1.47 billion last quarter. Analysts had called for EPS of 9 cents on $1.34 billion in revenue.
Despite the red ink, Calpine stood by its 2011 guidance.
Global Markets
The U.K.'s FTSE 100 slid 0.07% to 6082.99, Germany's DAX gained 0.29% to 7426.81 and
France's CAC 40 advanced 0.12% to 4157.14.
In Asia, Japan's Nikkei 225 closed up 0.06% to 10842.80, Hong Kong's Hang Seng soared 1.26%
to 23595.20 and China's Shanghai Composite dropped 0.93% to 2899.79.
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DJIA
Nasdaq
12,226.34
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+95.89+0.79% +1.22 +0.04%
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500
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Last
Change
%
940.42 +6.21
Change
+0.66%
Reuters
Economy
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Today's Markets
The Dow Jones Industrial Average jumped 95.89 points, or 0.79%, to 12,226,
the S&P 500 Index gained 7.34 points, or 0.56%, to 1,327, and the Nasdaq
Composite Index edged higher by 1.22 points, or 0.04%, to 2,782. The FOX 50
was up 6.21 points, or 0.66%, to 940.
Walt Mossberg
reviews Motorola
Xoom
Despite last week's volatility, major stock market averages gained in February.
The broad S&P 500 index jumped 3.2% in February, the Nasdaq was up 3%
and the Dow added 2.8%.
anywhere
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Traders also closely eyed oil prices that surged 9.1% in the prior week,
sparking fears that high energy prices would put a damper on the global
economic recovery.
Fears that political unrest in oil-producing Libya would spread to larger oil
producers, namely Saudi Arabia, sent oil flying past the $103 threshold in the
prior week.
LAST 5 STOCKS
"The market is clearly in a play it by ear mode on what comes next both in
terms of the Middle East and sustainability of this spike [in oil prices] and what,
if sustained, this will do to the global economy," wrote Peter Boockvar,
managing director at Miller Tabak + Co., in a research note.
The U.S. urged its European allies Monday to enforce sanctions on the North
African country as forces backed by leader Muammar al-Qaddafi continued
clashing with opposition fighters.
Crude settled lower by 91 cents to $96.97 a barrel after jumping to more than
$100 overnight. Oil made its biggest-monthly leap since December 2010,
surging $4.78, or 5.2%, in February.
Even consumers, who play an important part in economic health, paid more at
01-Mar-2011 1:35 AM
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the pump at the end of February. According to the AAA's Daily Fuel Gauge
Report, drivers paid $3.37 a gallon for regular gas on average Monday as
compared with $3.10 a month ago.
On the economic front, manufacturing activity made a surprising jump in
February, according to the Chicago Federal Reserve. The Chicago PMI index
jumped from 68.8 in January to 71.2 in February, beating economists'
expectations that the measure would inch lower to 67.5.
The National Association of Business Economists boosted its estimates for
year-over-year domestic growth in 2011 from 2.6% in November to 3.3% in
February.
Personal income jumped a more-than-expected 1% in January, according to
the Commerce Department. A large portion of the gain in income can be
attributed to government tax programs meant to ease consumers' tax burden
amid difficult economic conditions, the report said.
Economists were expecting this gauge of strength in the consumer sector to
have increased 0.4% in January. However personal spending only increased
0.2% in January, less than the 0.4% analysts were expecting, possibly
indicating consumers are still worried to make purchases.
Consumer discretionary companies such as Best Buy (BBY: 32.25, 0.00,
0.00%) and Tiffany & Co. (TIF: 61.57, 0.00, 0.00%) could be affected by
consumers' propensity to save or spend money.
Contracts for sales of previously-occupied homes dropped by a more-thanexpected 2.8% in January. Analysts saw the gauge of strength in the housing
market falling 2.2% for the month.
In currencies, the euro gained 0.32% on the U.S. dollar, and the greenback was
up 0.11% against the Japanese yen.
Metals were largely higher on the day, but bounced back from session highs.
Gold settled up 60 cents to $1,409 per troy ounce. Gold was up $75.50, or
5.66%, for the month of February.
Corporate Movers
3M (MMM: 92.37, 0.00, 0.00%) was one of Monday's best performers as a
report from Barron's saying the manufacturer's earnings would rise 60%,
coupled with a ratings boost from Standard and Poor's, gave shares a boost.
Salesforce.com (CRM: 132.57, 0.00, 0.00%) shares plummeted 6% Monday,
giving back some of the 91% year-over-year gain the contact management
company has seen.
JPMorgan Chase (JPM: 46.70, 0.00, 0.00%) is in talks to acquire a small stake
in booming social networking site Twitter, according to a report by the Financial
Times.
Humana (HUM: 65.05, 0.00, 0.00%) was one of the top-performing S&P 500
components after Standard & Poor's boosted the insurer's rating from hold to
buy.
Apple (AAPL: 353.26, 0.00, 0.00%) bucked the downward trend for technology
stocks, climbing 1.4%. The technology-behemoth is widely expected to release
the next revision of its popular iPad at a press event on Wednesday.
Berkshire Hathaway chief Warren Buffet wrote in an annual letter to
shareholders that the holding company -- which owns firms like
reinsurance-giant General Re -- is looking to make "major acquisitions" to add
to income the company earns from its current holdings.
Dril-Quip Inc. (DRQ: 76.76, 0.00, 0.00%) swung to a 28% fourth-quarter loss,
with profits of 52 cents per share -- far below analysts' expectations of 71 cents.
Shares of the offshore driller tumbled in trading on Monday.
Blackstone Group (BX: 17.80, 0.00, 0.00%) -- the world's largest private
equity firm -- has reached a deal to purchase Centro Properties Group's
portfolio of shopping malls for $9.4 billion, according to a report by The Wall
Street Journal.
Foreign Markets
In Europe, the English FTSE 100 swung lower by 0.12% to 5,994, the French
CAC 40 jumped 0.98% to 4,110 and the German DAX increased by 1.21% to
7,272.
Asian markets were mostly higher, the Japanese Nikkei was higher by 0.92% to
10,624 and the Chinese Hang Seng spiked 1.4% to 23,338.
01-Mar-2011 1:35 AM
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Business Markets
Sensex shoots up 623 points in post-Budget rally; auto leads
37,
The Hindu Traders at the Cochin Stock Exchange cheer the upward trend in the markets. Photo: H. Vibhu
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Economy
MARKET SNAPSHOT
DJIA
Nasdaq
12,258.20
2,798.74
+191.40
+1.59% +50.67+1.84%
By Adam Samson
Published March 03, 2011 | FOXBusiness
Print
Currencies
S&P
500
1,330.97
+22.53+1.72%
Last
Change
%
942.03 +13.11 Change
+1.41%
Text Size
FOX Business: The
Power to Prosper
Reuters
The Dow Jones Industrial Average climbed 191 points, or 1.59%, to 12,258, the
S&P 500 gained 22.53 points, or 1.72%, to 1,330 and Nasdaq Composite Index
tracked higher by 50.67 points, or 1.84%, to 2,798. The FOX 50 was up 13.11
points, or 1.41%, to 942.
Every major sector advanced, with industrial stocks ( XLI: 37.28, 0.00, 0.00%)
and financials (XLF: 16.73, 0.00, 0.00%) gaining the most. Indeed 28 out of 30
Dow components advanced Thursday. Equipment-maker Caterpillar (CAT:
104.27, 0.00, 0.00%) and credit card company American Express (AXP:
44.27, 0.00, 0.00%) led the charge higher, while technology-giant HP (HPQ:
43.25, 0.00, 0.00%) and telephone company AT&T (T: 28.16, 0.00, 0.00%)
stumbled.
Initial jobless claims unexpectedly fell 20,000, to 368,000, in the prior week -the lowest level since May 2008, the Labor Department said. Economists were
expecting claims to edge higher to 400,000.
Crude settled lower by 32 cents, or 0.31%, to $101.91 a barrel, after surging
2.6% Wednesday. Prices came back from session lows after opposition forces
in Libya rejected a proposal by Venezuelan President Hugo Chavez to
peacefully end the strife that has pushed the oil-rich nation into turmoil.
Walt Mossberg
reviews Motorola
Xoom
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The jobless claims report comes a day before the release of monthly
unemployment numbers from the Labor Department. The national
unemployment rate stood at 9.0% in January, far higher than the so-called
natural unemployment rate that economists expect in a healthy economy.
Productivity of U.S. workers was up 2.6% for the fourth quarter of 2011, beating
expectations for a gain of 2.3%, according to a revised report by the Labor
Department.
This report "is good news for employment growth, which is likely to accelerate
over the course of the next few quarters," wrote Nariman Behravesh, chief
economist at IHS Global Insight in a research note.
Also on the economic front, the European Central Bank [ECB] said Thursday
that it would keep short-term interest rates at record-low 1%. ECB President,
Jean-Claude Trichet, said it "is possible" the central bank could hike rates at its
03-Mar-2011 11:56 PM
2 of 3
http://www.foxbusiness.com/markets/2011/03/02/foreign-markets/
next meeting.
Monetary authorities, such as the U.S. Federal Reserve and the ECB, reduce
interest rates in a bid to spur economic growth.
However, with low interest rates comes the risk of increasing inflationary
pressure. Recent data, including the Fed's beige book released Wednesday,
suggest price inflation remains largely under control domestically.
In metals markets, gold gave back some of its steep gains from earlier in the
week, tumbling $21.20, or 1.48%, to $1,416 a troy ounce, after settling at a
record high Wednesday.
The U.S. dollar edged 0.13% lower against a basket of world currencies, as the
euro gained 0.60% on the greenback.
Sales results among top retailers were largely higher in February, but
fears about the toll high energy costs could take on already
cash-strapped consumers looms for March and April.
Overall, chain-store-sales, excluding Wal Mart, which isn't included in the
report, jumped 4.2% on a year-over-year basis, the International Council of
Shopping Centers said.
Macy's (M: 23.63, 0.00, 0.00%) same-store-sales jumped 5.8%, far exceeding
Wall Street's expectations for an increase of 3.7%.
Target (TGT: 52.10, 0.00, 0.00%) said its same-store-sales edged higher by
1.8%, missing analysts' estimates for a gain of 2.2%.
Corporate Movers
Banco Santander (STD: 11.96, 0.00, 0.00%) is reportedly mulling a joint bid
for CitiFinancial, the consumer-finance unit put on the block by Citigroup (C:
4.68, 0.00, 0.00%), according to a report by The Wall Street Journal.
Chrysler is recalling more than 248,000 vehicles because of potential engine
shutoff issues.
Heinz (HNZ: 49.60, 0.00, 0.00%) has reached a deal to take an 80% stake in
Brazilian food-maker Coniexpress S.A. Industrias Alimenticias.
Valero (VLO: 28.97, 0.00, 0.00%) was one of the top performing issues on the
S&P 500 after the oil refiner boosted its outlook. The company expects to
benefit from the increasing spread between the price of West Texas
Intermediate crude and oil from the Gulf Coast.
Big Lots (BIG: 41.24, 0.00, 0.00%) unveiled fourth quarter earnings of $1.46 a
share, a gain of 4.5%, besting analysts' estimates of $1.38.
Wendy's / Arby's Group's (WEN: 5.11, 0.00, 0.00%) shares surged more than
7%, after the company said it expects sales at its Wendy's fast food chain to
grow, and announced plans to unload its under-performing Arby's restaurants.
Foreign Markets
Foreign markets were mostly higher Thursday.
In Europe, the English FTSE 100 jumped 1.5% to 6,005, the French CAC 40
was up 0.66% to 4,060, and the German DAX climbed 0.62% to 7,225.
Asian markets rallied as well: the Japanese Nikkei 225 increased 0.89% to
10,586 and the Chinese Hang Seng edged higher by 0.32% to 23,122.
Print
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Comments (23)
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03-Mar-2011 11:56 PM
1 of 1
http://www.thehindu.com/business/markets/article1536418.ece
Business Markets
Sensex up 265 points
37,
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14-Mar-2011 11:39 AM
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MARKET SNAPSHOT
DJIA
Nasdaq
11,774.59
2,636.05
+161.29
+1.39% +19.23+0.73%
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S&P
500
1,273.72
+16.84+1.34%
Last
Change
%
898.58 +11.08 Change
+1.25%
Reuters
Today's Markets
The Dow Jones Industrial Average was higher by 161 points, or 1.4%, to 11774,
the S&P 500 climbed 16.8 points, or 1.3%, to 1273 and the Nasdaq Composite
was up 19.2 points, or 0.7%, to 2636. The FOX 50 jumped 11.1 points to 899.
The blue chips had their worst day since August on Wednesday, tumbling 2%
amid concerns over the unfolding nuclear situation in Japan. The broad selloff
also pushed the Nasdaq and S&P 500 into negative territory for 2011.
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Radiation continued seeping out of at least two stricken nuclear reactors that
were damaged in the massive earthquake that hit the Japan last week.
Emergency workers raced to cool the cores down, but it remained unclear
Thursday whether their attempts would be successful at averting a
catastrophe. U.N and American nuclear officials said the situation remained
serious, but had stabilized somewhat.
1 of 4
17-Mar-2011 9:12 PM
http://www.foxbusiness.com/markets/2011/03/17/bulls-blitz-defeats-soar...
Uncertainty over the conditions in Japan prompted the U.S. government to urge
its citizens to leave the country and avoid unnecessary travel there. Indeed, the
U.S. chartered private airplanes to aid in the evacuation process.
Japan's Nikkei 225 average, which has been extraordinarily volatile in recent
sessions, slid 1.4% amid concerns over how long it would take for the
Japanese economy to recover after the disaster.
The yen soared 1.9% against the U.S. dollar as Japanese investors sold
American assets in a bid to pay for rescue and rebuilding efforts back home. A
higher exchange rate makes it more expensive for companies to import
Japanese goods, which could pose a problem as the Japanese economy
recovers.
Continued clashes in numerous Middle Eastern countries have overshadowed
worries over Japan's demand for oil, pushing prices higher. Security forces in
oil-producing Bahrain participated in what U.S. Secretary of State Hillary
Rodham Clinton described as an "alarming" crackdown on political protests.
"The North Africa and Middle East situation is starting to come to the forefront
again," said Darin Newsom, senior commodities analyst at DTN.
"The money that left [the oil markets] in such a rush over the last week is
starting to come back."
Light, sweet crude jumped $3.44, or 3.5%, to $101.42. A gallon of regular gas
cost $3.55 on average nationwide, up from $3.12 last month and $2.79 last
year, according to the AAA Fuel Gauge Report.
Soaring energy prices pushed consumer inflation up 0.5% in February -- the
most since June 2009, according to the Labor Department. Core inflation,
which excludes volatile food and energy prices, edged higher by 0.2%.
Economists have been paying particularly close attention to price levels since
the Federal Reserve has embarked on a highly expansionary monetary policy
regime in a bid to jump-start the U.S. economy. While the central bank's
low-interest-rate policy, coupled with a trillion-dollar asset purchase program,
can provide a boost to the economy, some economists worry it can lead to high
levels of long-term inflation.
If consumer prices rise, economists worry, peoples' wage expectations could
rise, which leads to wage inflation, a difficult situation to control.
Manufacturing activity in the Mid-Atlantic region saw its biggest gains since
1984 in March. The Federal Reserve Bank of Philadelphia said its
manufacturing index jumped to 43.4 from 35.9 in the prior month. Economists
were expecting the index to drop to 28.8.
However, the reading doesn't take into account the disaster that hit Japan, the
world's third largest economy.
The situation "will change in light of the aftermath of the Japanese earthquake
and its inevitable impact on global economic activity but at least we know the
state of American manufacturing in this region was on good footing," wrote
Peter Boockvar, Managing Director at Miller Tabak + Co., in a research note.
In metals, gold increased by $7.10, or 0.51%, $1403 a troy ounce.
Corporate Movers
General Motors (GM: 31.45, -0.35, -1.10%) declared a 59.4 cents per share
dividend on its preferred stock. Separately, the automaker said it would have to
temporarily stop production of its Chevy Colorodo and GMC Canyon lines due
to a lack of parts coming from Japan.
Apple (AAPL: 333.88, +2.41, +0.73%) received a $500 a share price target
from Credit Suisse.
FedEx (FDX: 87.89, +2.60, +3.05%) revealed its fiscal third-quarter earnings
edged 3.3% lower, but said expects fourth-quarter profits to hit between $1.66
to $1.83 a share, besting analysts' calls for $1.65 a share. Shares of the
shipping company moved sharply higher.
Vodafone (VOD: 27.65, +0.86, +3.21%) was upgraded from "reduce" to
"neutral" by Evolution Securities, pushing shares of the mobile
telecommunications company.
Wal-Mart (WMT: 51.36, -0.02, -0.04%), Target (TGT: 50.36, -0.32, -0.63%)
and other retailers are pushing regulators to force Amazon.com (AMZN:
160.96, -3.84, -2.33%) to charge sales tax, according to a report by The Wall
Street Journal. The online retailer presently only has to charge tax in the five
states in which it has a physical presence.
2 of 4
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21-Mar-2011 7:19 PM
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month and $2.82 last year, according to the AAA Fuel Gauge Report.
Prices have spiked in recent weeks as traders have priced in the risk of
volatility spreading to larger oil producers, such as Saudi Arabia.
Sales of previously-occupied homes plunged 9.6% to an annualized rate of 4.88
million in February from January, far weaker than economists' expectations for
a drop of 4%. The report by the National Association of Realtors also showed
the median home price sinking 5.2% to 156,100 -- the lowest level since April
2002.
"This was a disappointing report, but part of the decline may be attributed to
some payback after three months of steady gains," wrote Theresa Chen, an
economist at Barclays Capital, in a research note.
Difficult conditions in the mortgage markets are continuing to make it difficult for
consumers to make real estate purchases, according to Chen.
In the foreign exchange market, the euro gained 0.2% against the dollar and the
greenback climbed 0.25% against the Japanese yen.
Gold recently settled higher by $11.90, or 0.73%, to $1426 a troy ounce.
Corporate Movers
Microsoft (MSFT: 25.34, +0.49, +1.97%) filed actions against Barnes & Noble
(BKS: 9.28, +0.37, +4.15%), Foxconn and Inventec saying the manufacturers
infringed on the technology-giant's patents in Android devices.
Royal Dutch Shell (RDS) garnered approval from U.S. regulators to drill three
exploratory wells in the Gulf of Mexico.
ConocoPhillips (COP: 77.54, +2.15, +2.85%) could sell as much as $20 billion
worth of properties, according to a research note by Deutsche Bank.
Apple (AAPL: 339.20, +8.99, +2.72%) shares jumped more than 2% on hopes
the combination of AT&T and T-Mobile would boost the potential
subscriber-base for its popular iPhones and iPads.
Citigroup (C: 4.43, -0.06, -1.34%) plans on reinstating its quarterly dividend
and announced a one-for-ten stock split, which will substantially reduce the
outstanding common stock and increase the stock price.
Tiffany & Co. (TIF: 60.22, +2.95, +5.15%) was a top performer on the S&P 500
after it posted a better-than-expected sales forecast of between $3.35 and
$3.45 a share for the year.
Nissan will resume manufacturing at all of its Japanese factories this week.
Boeing's (BA: 71.22, +2.16, +3.13%) new 747-8, the largest commercial plane
built by the aircraft maker, took flight for the first time Sunday.
General Motors (GM: 31.26, -0.58, -1.82%) temporarily suspended production
at one of its New York plants amid supply disruptions in the wake of the
earthquake in Japan.
Foreign Markets
Major global averages were solidly in the green Monday.
The Chinese Hang Seng was up 1.7% to 22685 and Japanese markets were
closed for a holiday.
In Europe, the English FTSE 100 climbed 1.2% to 5786, the French CAC 40
was higher by 2.5% to 3904 and the German DAX gained 2.3% to 6816.
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21-Mar-2011 7:19 PM
The Hindu : Business / Markets : Sensex up 281 points; blue chips lead the...
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Business Markets
Sensex up 281 points; blue chips lead the rally
37,
The Hindu Private lenders ICICI Bank, HDFC Bank and Axis Bank were the star performers today.
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12,170.56
2,736.42
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Comments (1)
S&P
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1,309.66
+12.12+0.93%
Last
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Reuters
The Dow Jones Industrial Average jumped 84.5 points, or 0.7%, to 12171, the
S&P 500 climbed 12.1 points, or 0.93%, to 1310 and the Nasdaq Composite
gained 38.1 points, or 1.4%, to 2736. The FOX 50 was up 8.2 points to 921.
Companies such as woman's-apparel-retailer Talbots ( TLB: 5.89, +1.09,
+22.71%) and Linux-developer Red Hat (RHT: 47.26, +7.29, +18.24%)
reported better-than-expected results, prompting shares to soar on the day.
Technology heavyweight Best Buy (BBY: 30.13, -1.72, -5.40%) didn't fare as
well, revealing a worse-than-expected outlook for the new fiscal year.
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3 of 3
24-Mar-2011 8:22 PM
The Hindu : Business / Markets : Sensex surges 465 points on firm global cues
1 of 1
http://www.thehindu.com/business/markets/article1570905.ece
Business Markets
Sensex surges 465 points on firm global cues
37,
The Hindu A view of the BSE building in Mumbai. File Photo: Shashi Ashiwal
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500 climbed 4.1 points, or
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was up 2.7 points to 924.
"Economic recovery took center stage, and brought with it a rally," said John Prestbo, executive
director and editor at Dow Jones Indexes.
Major market averages advanced considerably this week. The
Dow jumped 3.1%, the S&P 500 gained 2.7% and the Nasdaq
soared 3.8%.
Companies like enterprise-software-giant Oracle (ORCL:
32.64, +0.50, +1.56%), consulting-firm Accenture (ACN: 54.29,
+2.33, +4.48%) and Red Hat (RHT: 46.34, -0.92, -1.95%), the
maker of popular Linux software, reported better-than-expected
earnings this week.
The broad markets shrugged off disappointing results from
Research in Motion (RIMM: 56.89, -7.20, -11.23%) and Best
Buy (BBY: 29.22, -0.91, -3.02%) that sent shares of those
issues tumbling.
The U.S. economy expanded at an annualized rate of 3.1% in
the fourth quarter of 2010, a faster pace than the Commerce
Department initially estimated. Wall Street had been expecting
a gain of 3%.
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General Motors (GM: 31.47, +0.08, +0.25%) plans on resuming production at its Louisiana
pickup truck facility and upstate New York engine factory after halting operations due to part
shortages from Japan.
Bristol-Myers Squibb (BMY: 27.29, +0.86, +3.25%) garnered approval for Yervoy, which was
found to extend the life of patients with melanoma, a deadly type of skin cancer.
Ford (F: 15.01, -0.03, -0.20%) told dealers to halt orders of cars in "tuxedo black" and three
shades of red amid shortages of pigment from Japan.
Eastman Kodak (EK: 3.40, +0.27, +8.63%) soared more than 8% after the company's Chief
Executive Officer said the company could stand to gain $1 billion if it wins a patent claim against
Apple (AAPL: 351.54, +6.57, +1.90%) and Research in Motion (RIMM: 56.89, -7.20, -11.23%).
Apple's (AAPL: 351.54, +6.57, +1.90%) iPad 2 goes on sale in 25 global markets today.
Google (GOOG: 579.74, -7.15, -1.22%) pushed back the release of the source code of its
Android Honeycomb operating system, as it works to optimize the software.
Foreign Markets
Global shares drifted between positive and negative territory Friday, but closed modestly in the
green.
The English FTSE 100 rose 0.34% to 5,900, the French CAC 40 climbed 0.09% to 3,972 and the
German DAX was higher by 0.18% to 6,946.
In Asia, the Japanese Nikkei soared 1% to 9,536 and the Chinese Hang Seng jumped 1.1% to
23,159.
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http://www.foxbusiness.com/markets/2011/03/25/bull-run-stocks-post-big-wee...
25-Mar-2011
1 of 1
http://www.thehindu.com/business/markets/article1578050.ece
Business Markets
Sensex reaches two-month high on easing oil price
37,
The Hindu Brokers said sustained buying by funds and retail investors in stocks with strong fundamentals amid expectations of
better Q4 earnings mainly influenced the trading sentiment. File photo
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LQGH[E\SHUFHQWWR
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VHFWRULQGH[E\SHUFHQWWR
.H\ZRUGV%RPED\6WRFN([FKDQJH %6( VWRFNPDUNHW 6HQVH[
28-Mar-2011 9:29 AM
The Hindu : Business / Markets : Sensex jumps 178 points to regain 19K l...
1 of 1
http://www.thehindu.com/business/markets/article1582015.ece
Business Markets
Sensex jumps 178 points to regain 19K level after nine weeks
37,
AP A heavy inflow of foreign funds kept the market in bullish mood and discounted the weakening Asian trend and lower opening in
Europe.
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29-Mar-2011 7:26 AM
1 of 2
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http://www.moneycontrol.com/news/local-markets/sensex-outperforms-g...
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MUTUAL FUNDS
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Enter Company
Bulls have been taken full charge of Dalal street for the
sixth consecutive session with the Sensex adding nearly
1300 points by outperforming its global peers- supported
by strong inflow of foreign institutional investors. About 27
frontline shares out of 30 shares on the Sensex led the
market higher.
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Index
Closing Value % Change "I would like
Sensex
19120.8
7.19 to see a
Nifty
5736.35
6.93 penetration
of 5,800
Shanghai
2958.43
1.69
level, then
Hang Seng
23060.36
1.65 we have the
Nikkei
9459.08
2.74 possibility of
Straits Times
3056.95
2.46 touching
Kospi
2072.13
3.43 6,000 and
Taiwan
8596.57
1.52 that might
FTSE*
5890.94
1.81 signify a
CAC*
3955.73
1.31 renewed
uptrend,"
DAX*
6893.83
1.14
Louise
Dow Jones**
12197.88
1.34 Yamada,
* Tuesday's value at 15:30 hours
MD of
** Monday's closing value
Louise
Yamada Technical Research Advisors said. However, she feels that the little
downtrend thats been in place comes in at about 5,800.
GET
QUOTE
see all
She sees Nifty and Sensex are finding support levels around 18,175 and 5,300
respectively.
Indian equity benchmarks completely outperformed its global peers by shooting up
7% in six consecutive days. Asian markets like Nikkei, Straits Times and Kospi gained
2.5-3.5% while rest of the global markets gained 1-1.5%.
On the Dow and S&P 500, Yamada finds the indexes in consolidation mode. "The
uptrend has not broken yet. At present it looks stable," she says. She also says that it
may be the end of the cyclical setback in India. The emerging markets have been
outperforming the developed markets since the beginning of the century. They are in
structural bull markets.
Foreign institutional investors were net buyers to the tune of Rs 3500 crore (including
yesterday's provisional figure) in Indian equities in last five days till March 28.
India is a magnet for investments, says Nandita Parker, Managing Partner, Karma
Capital. "The 7-9% GDP growth in India continues to attract investors. They will be
buying the dips in India, as they have been in the past."
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Parker says India has strong structural tailwinds. "We are going through a very visible
and significant consumption-led boom. This is the vibrancy which is attracting the
investors," she adds.
On the economic data, infrastructure sector grew at 6.8% in the month of February as
against 4.2% growth in the same month of previous year. Infrastructure sector grew
just 5.7% in 11 months till February as against 5.4% on year-on-year basis.
All sectoral indices ended in the red. Telecom, technology, financial (barring ICICI
29-Mar-2011 9:54 AM
2 of 2
http://www.moneycontrol.com/news/local-markets/sensex-outperforms-g...
Bank), realty, power, healthcare, auto and FMCG companies' shares led the support
today. Auto, Metal and IT indices gained around 1-1.5%.
India's largest telecom player Bharti Airtel' shares led the markets from front, with
gaining 3.7%. Among others, ONGC, TCS, NTPC, HDFC, Infosys, Sterlite, DLF, Axis
Bank, Tata Motors and DLF gained 1-2.5%.
Maruti, Sesa Goa, Reliance Communications, Hero Honda, BPCL and Dr Reddy's
Labs surged 3-4%. SBI and L&T went up over 0.5%.
However, BHEL, Reliance Industries, IDFC, Cairn, Grasim, ICICI Bank and Reliance
Capital were losers on Nifty.
In midcap space, Puravankara Projects, Dewan Housing, BASF, Allcargo Global and
Himadri Chemical surged 6-10.5% while Shree Global, Den Networks, Prestige
Estate, KGN Industries and Mahindra Holiday lost 4-10%.
In smallcap space, Jai Balaji Industries shot up 20% on broker reports. Force Motors,
KSB Pumps, TTK Prestige and AP Paper Mills were up 7-9%. However, Accentia
Tech plunged 20%. Chromatic India, BS TransComm, Ushdev Intl and OCL Iron fell
6-9%.
Volume has been increased ahead of expiry on Thursday - total traded turnover was
more than Rs 1.9 lakh crore, including Rs 1.76 lakh crore from F&O segment.
About 1135 shares advanced as against 1842 shares declined on the National Stock
Exchange.
Tags: sensex, nifty, markets
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158.47
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Business Markets
Sensex gains on easing oil prices
37,
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DJIA
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The Dow Jones Industrial
Average jumped 71.6 points,
Reuters
or 0.58%, to 12,351, the S&P
500 climbed 8.8 points, or
0.67%, to 1,328 and the Nasdaq Composite gained 19.9 points, or 0.72%, to 2,777. The FOX 50
was up 6.7 points to 933.
Stocks have bounced back markedly from the slump triggered by fears over the situation in
Japan, the Middle East and North Africa. Indeed, the Dow has soared 737 points, or 6.4%, since
bottoming on March 16.
Lower-than-usual volume on the New York Stock Exchange
has caused some analysts to question the conviction of the
rally. However, wide participation among large institutions
"counterbalance" some of those concerns, according to Peter
Kenny, managing director at Knight Capital Group.
The economic picture has been a major focus this week, with a
slew of data being released, capped with Friday's employment
situation report.
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31-Mar-2011
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Crude stocks were up 2.95 million barrels in the prior week -far more than the 1.8 million barrel build analysts forecast -according to the Energy Department.
The unrest in Libya and the Middle East has also driven the
energy markets in recent weeks. A coalition of forces including
NATO has continued striking Muammar al-Qaddafi's military,
but Qaddafi has countered. Despite the turmoil there, analysts
are optimistic that Libya, an OPEC member, will be able to get
oil production back online within 12-18 months.
Nasdaq OMX Groups (NDAQ: 25.79, +0.04, +0.16%) cyber security breach last year is being
investigated by the National Security Agency amid signs the attack may have been more severe
than previously disclosed, Bloombergs BusinessWeek reported.
Google (GOOG: 581.84, +0.11, +0.02%) reached a settlement with the Federal Trade
Commission over privacy concerns related to its Buzz social media product. The search giant
agreed to conducting independent privacy reviews for the next 20 years.
News Corporation (NWS: 18.56, +0.27, +1.48%) promoted James Murdoch to the role chairman
and chief executive officer of its international division.
Dell (DELL: 14.64, -0.13, -0.88%) was given a "neutral" rating by Sterne Agee, with a price target
of $15.00 a share, only slightly above its current trading price.
Family Dollar Stores (FDO: 52.25, -0.15, -0.29%) revealed second-fiscal quarter profits of 98
cents a share, narrowly besting analysts' calls for 97 cents.
Jos A Bank (JOSB: 50.55, +1.83, +3.76%) earned $1.47 a share in its fiscal-fourth quarter, well
higher than the $1.43 Wall Street had forecast.
Foreign Markets
http://www.foxbusiness.com/markets/2011/03/30/wall-street-rallies-second-day/
31-Mar-2011
Page 3 of 4
Global shares rallied on optimism economic recovery is gaining traction across the world.
The English FTSE 100 was up 0.27% to 5,948, the French CAC 40 jumped 0.92% to 4,024 and
the German DAX traded higher by 1.8% to 7,057.
In Asia, the Japanese Nikkei 225 soared 2.6% to 9,709 and the Chinese Hang Seng gained
1.7% to 23,451.
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31-Mar-2011
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Small Business
Quotes delayed at least 15 minutes. Real-time quotes provided by BATS Exchange. Market Data provided by Interactive Data (Terms & Conditions). Powered and
Implemented by Interactive Data Managed Solutions. Company fundamental data provided by Morningstar. Earnings estimates data provided by Zacks. Mutual
fund data provided by Lipper. Economic data provided by Econoday. Dow Jones & Company Terms & Conditions.
This material may not be published, broadcast, rewritten, or redistributed. 2011 FOX News Network, LLC. All rights reserved.
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31-Mar-2011
1 of 1
http://www.thehindu.com/business/markets/article1587017.ece
Business Markets
Sensex up 155 points
37,
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31-Mar-2011 8:52 AM
01-Apr-2011
ADV
The $11.3 billion proposal by Nasdaq OMX and the IntercontinentalExchange represents a 19% premium to the Deutsche Boe
deal. NYSE Euronext has a valuable derivatives business that makes the company an enticing takeover candidate.
There are still several hurdles Nasdaq OMX and the IntercontinentalExchange have to jump before closing the deal. Indeed, th
transaction would require approval from European Union regulators and the majority of Nasdaq OMX, IntercontinentaExchang
NYSE Euronext shareholders, according to a release by the Nasdaq OMX Group.
The labor market showed further signs of improvement in March. The economy added 216,000 jobs, and the unemployment
from 8.9% to 8.8% -- the lowest level since March 2009. Economists were expecting a gain of 190,000 jobs for the month. Th
market was slammed by the economic downturn, with the unemployment rate peaking at 10.4% in January 2010.
"The overall trajectory of the economy has improved dramatically over the past two years, but there will surely be bumps in th
ahead," said Austan Goolsbee, chairman of the Council of Economic Advisers, in a release.
Despite gains in the headline data, average hourly earnings were unchanged on the month, even as energy and food prices ha
soared -- potentially putting strain on consumers.
The "economy encouragingly continues to add private sector jobs but with wage growth not keeping pace with inflation," wrote
Bookvar, managing director at Miller Tabak + Co., in a research note.
A broad swath of consumer-dependent stocks such as retail-giant Wal-Mart (NYSE:WMT) and Apple (NASDAQ:AAPL) could
swayed by weakness in the consumer sector.
Also on the economic front, the manufacturing sector continued expanding in March. The Institute for Supply Management's
manufacturing index ticked slightly lower to 61.2 in March from 61.4 in February. Readings above 50 indicate expansion in the
foxbusiness.com/markets/2011//print
1/3
01-Apr-2011
Blue Chips Drift Higher on Jobs Data - F
In the energy market, oil prices jumped for a second day amid continued geopolitical uncertainty.
Light, sweet crude traded higher by $1.22, or 1.1%, to $107.94. The price of a gallon of regular gas at the pump is $3.62 a g
from $3.39 last month and $2.80 last year.
NATO forces continue slamming Muammar al-Qaddafi's forces in oil-producing Libya, upholding a U.N. Security Council resolu
protect citizens. Qaddafi's forces and anti-government rebels have been fiercely fighting, gaining and losing territory by the da
The situation in Syria has escalated for another day, with reports Syrian security forces fired at protesters in Damascus, killing
three people, according to a report by Reuters, citing witnesses.
In currency markets, the euro recently edged 0.35% higher against the U.S. dollar and the greenback traded 0.11% lower ag
basket of world currencies.
Gold slid $10.40, or 0.76%, to $1,429 a troy ounce.
Corporate News
The "big three" U.S. automakers report March sales figures Friday...
General Motors' (NYSE:GM) total sales were 206,621, up 11% from the prior month. Strong retail sales, particularly of the
Chevrolet Cruz, boosted the monthly results.
Ford (NYSE:F) total sales jumped 19.2% to 212,777 in March.
Chrysler revealed its best total sales results since May 2008. Strong pickup and sports utility vehicle sales boosted total sale
to 121,730 in March.
Elsewhere in in the corporate world...
Logitech (NASDAQ:LOGI) shares tumbled after the make of computer peripherals cut its earnings outlook for 2011, prompti
slew of downgrades.
Office Depot (NYSE:ODP) issues slid after the company said it would have to restate its second quarter, third quarter and fis
2010 results after the Internal Revenue Service denied its $80 million tax-related claim.
Huntington Bancshares (NASDAQ:HBAN) was upgraded by several ratings companies, prompting shares to trade solidly hi
Foreign Markets
European markets soared in late trading. The English FTSE 100 was up 1.7% to 6,009, the French CAC 40 gained 1.6% to 4
and the German DAX soared 2% to 7,179.
Asian shares were mixed: the Japanese Nikkei 225 sunk 0.48% to 9,708 and the Chinese Hang Seng jumped 1.2% to 23,80
Print
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Quotes delayed at least 15 minutes. Market Data provided by Interactive Data ( Terms & Conditions). Powered and implemented by Interactive Data Managed Solutions. Comp
fundamental data provided by Morningstar. Earnings estimates data provided by Zacks. Mutual fund data provided by Lipper. Economic data pr ovided by Econoday. Dow Jone
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foxbusiness.com/markets/2011//print
3/3
The Hindu : Business / Markets : Sensex moves up 281 points to 3-month ...
1 of 1
http://www.thehindu.com/business/markets/article1599099.ece
Business Markets
Sensex moves up 281 points to 3-month high; Nifty regains 5,900
37,
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04-Apr-2011 8:31 AM
1 of 1
http://www.thehindu.com/business/markets/article1693872.ece
Business Markets
Sensex gains 434 points
37,
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13-Apr-2011 7:55 AM
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DJIA
Nasdaq
12,453.54
2,802.51
+186.79
+1.52%
+57.54
S&P 500
1,330.36
+2.10%
+17.74
+1.35%
Last
Change
% Change
933.38
+10.40
+1.13%
Today's Markets
According to preliminary
calculations, the Dow Jones
Industrial Average climbed
176 points, or 1.4%, to 12,443, the S&P 500 jumped 16.3 points, or 1.2%, to 1,329 and the
Nasdaq Composite was higher by 51.3 points, or 1.9%, to 2,796. The FOX 50 gained 10 points to
933.
Reuters
Every sector was higher in a broad rally, with technology issues like Microsoft and energy issues
such as Chevron leading the way higher. Transportation shares like CSX and Union Pacific
lagged behind.
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http://www.thehindu.com/business/markets/article1711720.ece
Business Markets
Sensex shoots up 349 points on monsoon outlook
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20-Apr-2011 8:17 PM
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DJIA
Nasdaq
12,505.99
2,820.16
+52.45
+0.42%
+17.65
S&P 500
1,337.38
+0.63%
Last
Change
935.82
+2.44
+7.02
+0.53%
% Change
+0.26%
Today's Markets
The Dow Jones Industrial
Average gained 52.4 points,
or 0.42%, to 12,506, the S&P
500 was up 7 points, or 0.53%, to 1,337 and the Nasdaq Composite climbed 17.7 points, or
0.63%, to 2,820. The FOX 50 was higher by 2.4 points to 936.
Reuters
The markets closed out the shortened trading week with solid gains, following two relatively quiet
weeks. The Dow and S&P 500 gained 1.3% and the technology-heavy Nasdaq added on 2%.
Gains on the day were broad, with companies like IBM (IBM:
168.28, +3.53, +2.14%) leading the way. However, health care
stocks like Amgen (AMGN: 53.69, -2.49, -4.43%) lagged
behind.
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However, despite generally positive earnings, not all corporate news was good Thursday. Pfizer
(PFE: 19.79, -0.60, -2.94%) shares tumbled more than 4% on news four patients died during
trials of Tofacitinib, an experimental Rheumatoid Arthritis drug.
Analysts are also keeping a close eye on the effects of the crisis in Japan on U.S. economic
growth. Indeed, Goldman Sachs released a research note Thursday saying it expects vehicle
production in North America to decline 10% in the second quarter, mostly due to a shortage of
microcontrollers used in cars. These tiny devices are considered high-value items so companies
generally keep small inventories of them, potentially creating a bottleneck for broader production,
the investment bank said.
In energy markets, oil have soared 22.9% since the start of 2011 and have now advanced four of
the last five weeks, gaining 1.9% this week alone.
Light, sweet crude settled higher by 84 cents, or 0.75%, to $112.29 a barrel. Gasoline prices at
the consumer level have been stable the last two days, but remain elevated. A gallon of regular
gas cost $3.84 on average nationwide, up from $3.55 last month and $2.86 last year.
Weakness in the U.S. dollar generally puts upward pressure on oil prices. The greenback
recently slipped 0.36% against a basket of world currencies and the euro gained 0.17% against
the greenback.
Gold climbed $17.90, or 1.2%, to $1,503 a troy ounce on the week, finishing the day at yet
another record-high. The precious metal is 4.5% for the year.
Elsewhere in corporate news...
Apple (AAPL: 350.70, +8.29, +2.42%) has completed its cloud-based music storage service, and
will launch ahead of a similar offering by Google (GOOG: 525.10, -0.63, -0.12%), according to a
report by Reuters.
http://www.foxbusiness.com/markets/2011/04/21/strong-corporate-earnings-lift-... 21-Apr-2011
Page 3 of 4
Microsoft (MSFT: 25.52, -0.24, -0.93%) plans on increasing employee compensation as rivals
attempt to tap into key talent.
Mattel (MAT: 26.67, -0.26, -0.97%), the largest U.S. toy company, was dealt a surprising defeat
in a lawsuit it brought against MGA Entertainment over who owns the rights to the lucrative Bratz
dolls line.
Groupon hired Margo Georgiadis, currently Google's (GOOG: 525.10, -0.63, -0.12%) vice
president of global sales and technology, to take on the role of Chief Operating Officer, according
to a report by Crain's Chicago Business.
NYSE Euronext (NYX: 39.03, -0.05, -0.13%) once again rebuffed the rival merger bid levied by
Nasdaq OMX (NDAQ: 27.54, +0.22, +0.81%) and IntercontinentalExchange (ICE: 122.18,
+1.52, +1.26%). The parent of the New York Stock Exchange said it believes the original offer
from Deutsche Boerse offers significantly more value for shareholders than the Nasdaq/ICE
deal.
Monex, a Japanese online Brokerage, plans on buying U.S.-based TradeStation (TRAD: 9.69,
+2.28, +30.77%) for $411 million, or $9.75 a share -- a 32% premium.
Foreign Markets
Global shares were mixed after soaring in the prior session.
The English FTSE 100 was down 0.07% to 6,018, the French CAC 40 gained 0.43% to 4,022
and the German DAX traded higher by 0.43% to 7,295.
In Asia, the Japanese Nikkei 225 jumped 0.82% to 9,686 and the Chinese Hang Seng climbed
1% to 24,138.
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DJIA
Nasdaq
12,595.37
2,847.54
+115.49
+0.93%
+21.66
S&P 500
1,347.24
+0.77%
Last
Change
942.98
+6.95
+11.99
+0.90%
% Change
+0.74%
Today's Markets
The Dow Jones Industrial
Average climbed 115 points,
or 0.93%, to 12,595, the S&P
500 was up 12 points, or
0.9%, to 1,347 and the Nasdaq Composite gained 22 points, or 0.77%, to 2,848. The FOX 50
was up 7 points to 943.
Reuters
Every major sector advanced on the day, with transportation companies like Delta Airlines (DAL:
9.99, +0.99, +11.00%) and CSX (CSX: 76.62, +1.99, +2.67%) gaining markedly. Materials issues
such as Barrick Gold (ABX: 50.19, -1.67, -3.22%) and Silver Wheaton (SLW: 39.17, -1.86, 4.53%) lagged behind.
Ford (F: 15.66, +0.12, +0.77%) posted its best results in 13
years. The company reported earnings of 62 cents a share,
excluding one-time charges, easily topping consensus
estimates of 50 cents. The automaker benefited from strong
demand for fuel efficient vehicles and strong global growth.
3M (MMM: 95.94, +1.82, +1.93%) also beat Wall Street's
forecasts, unveiling first-quarter earnings of $1.49 a share,
excluding one-time charges, compared with expectations of
$1.44 a share. United Parcel Service (UPS: 74.30, +0.66,
+0.90%) said it earned 88 cents a share during the quarter,
besting calls of 85 cents.
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26-Apr-2011
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central bank.
"Wednesday afternoon will mark a watershed in Federal Reserve communications strategy,"
wrote Andrew Tilton, senior economist at Goldman Sachs, in a note.
In energy markets, oil prices have been little changed so far for the week, but have jumped more
than 20% for the year.
Light, sweet crude settled lower by 7 cents, or 0.06%, to $112.21 a barrel. The price of gas at the
pump continues ticking higher. A gallon of regular gas costs $3.87 a gallon on average
nationwide, up from $3.58 last month and $2.85 last year.
The U.S. dollar hit a fresh 2011 closing low against the euro on Tuesday and is down 8.5% on
the year. The euro gained 0.31% against the greenback, and the dollar slumped 0.16% against a
basket of world currencies.
In metals, gold prices fell from a record high Tuesday, snapping an 8-day winning streak. The
metal traded lower by $5.60, or 0.37%, to $1,503.
Corporate News
U.S. Steel (X: 49.72, -2.11, -4.07%) posted a first-quarter loss of 60 cents as compared with
$1.10 a year ago and said it expects high steel prices would lead to significant profits in the next
quarter.
Netflix (NFLX: 228.91, -22.76, -9.04%) earned $1.11 a share in the first quarter -- a year-overyear increase of 88% -- on 69% growth in global subscribers. However, the video rental and
streaming service said it expects to earn between 93 cents and $1.15 in the current quarter,
spooking traders.
Lawson Software (LWSN: 11.06, -1.06, -8.78%) is being taken private by Golden Gate Capital
and Infor in a deal valued at roughly $2 billion.
Coca-Cola (KO: 66.93, -0.81, -1.20%) revealed first-quarter profits of 86 cents a share, missing
analysts' estimates by a penny. Losses in revenue caused by the earthquake and tsunami that
http://www.foxbusiness.com/markets/2011/04/26/corporate-earnings-lift-futures/
26-Apr-2011
Page 3 of 3
slammed Japan in March caused a 1 cent decrease on the largest soft-drink company's bottom
line.
Express Scripts' (ESRX: 54.15, -1.22, -2.20%) price target was cut to $71 from $79 by analysts
at JMP Securities.
Foreign Markets
The English FTSE 100 gained 0.85% to 6,069, the French CAC 40 was up 0.58% to 4,045 and
the German DAX climbed 0.84% to 7,357.
In Asia, the Japanese Nikkei 225 tumbled 1.2% to 9,559 and the Chinese Hang Seng was off
0.54T to 24,007.
Print
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Recom m end
26
DJIA
Nasdaq
12,763.31
2,872.53
+72.35
+0.57%
+2.65
S&P 500
1,360.48
+0.09%
Last
Change
955.19
+3.62
+4.82
+0.36%
% Change
+0.38%
Today's Markets
The Dow Jones Industrial
Average was up 72.4 points,
or 0.57%, to 12,763, the S&P
500 gained 4.8 points, or 0.36%, to 1,360 and the Nasdaq Composite climbed 2.7 points, or
0.09%, to 2,873. The FOX 50 was edged higher by 3.6 points to 955.
Reuters
Transportation companies such as Norfolk Southern (NSC: 73.87, +5.46, +7.98%) and Union
Pacific (UNP: 102.90, +1.10, +1.08%) led the way higher. Energy issues like ConocoPhillips
(COP: 77.45, -2.38, -2.98%) and Petroleo Brasileior (PBR: 36.94, -0.44, -1.18%) lagged
behind.
The markets gained the last three days as strong earnings from
major companies and the Federal Reserve's reaffirmation of its
highly-expansionary monetary policy gave stocks a boost.
Indeed, the Nasdaq hit a 10-year high on Thursday.
The first read of U.S. gross domestic product showed the
economy expanded at an annualized rate of 1.8% in the first
quarter of 2011. Economists expected the economy to have
grown at rate of 2% for the quarter. The report also showed a
substantial pickup in quarter-over-quarter headline and core
inflation. The so-called PCE price index, which the Fed closely
monitors, soared 3.8%, or 1.5% excluding volatile food and
energy prices.
Recent data have foreshadowed the slowdown, and many
economists are already looking to see if the economy will be
able to regain its footing in the current quarter.
"Higher gasoline prices and supply disruptions in the wake of
the Japanese earthquake may hinder the springtime
reacceleration in activity," wrote economists at RBS in a note.
Weekly jobless claims jumped by 25,000 to 429,000 in the prior
week -- far higher than the 392,000 economists expected. The
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955.19
+3.62
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"We look for the housing market to recover further in the near
term, albeit at a gradual pace, as the economy continues to
grow," wrote Barclays Capital economist Theresa Chen in a
note.
On the corporate front, Microsoft (MSFT: 26.71, +0.33,
+1.25%) posted earnings of $5.7 billion, or 61 cents a share
after the closing bell, zipping by forecasts of 56 cents. The
technology-giant's bottom line was boosted by growth in its
business division and revenue from its Xbox gaming console.
Oil giant ExxonMobil (XOM: 87.34, -0.44, -0.50%) earned
$10.65 billion, or $2.14 a share, topping Wall Street's view of
$2.07 a share. The largest U.S. company by market
capitalization benefited from high oil prices and widening
margins in its refineries.
Procter & Gamble (PG: 64.50, +0.48, +0.75%), the consumerproduct giant, posted fiscal third-quarter profits of $2.87 billion, a gain of 11%, which was inline
with expectations.
Sprint (S: 5.11, +0.32, +6.68%) revealed a first-quarter loss of $439 million, or 15 cents a share,
far narrower than Wall Street's forecast of a loss of 22 cents.
The dollar fell to its lowest level in three years after the Federal Reserve said it would keep
interest rates at extraordinarily low levels. Generally, capital follows higher interest rates, which
can now be found abroad, which decreases demand for the dollar, hence forcing the exchange
rate down.
The greenback slipped 0.28% against a basket of world currencies, and the euro gained 0.26%
against the U.S. dollar.
Weakness in the U.S. dollar, however, does make it less expensive for companies abroad to
purchase U.S. goods, which could potentially boost exports, economists say.
Energy markets were subdued after fairly volatile trading in the prior session.
Light, sweet crude settled higher by 10 cents, or 0.09%, to $112.86 -- the highest settle since
September 2008. Wholesale RBOB gasoline for May delivery tacked on 1 cent, 0.3% to $3.43,
closing at its highest point since July 2008.
Gasoline prices on the consumer level continue marching higher. A gallon of regular gas at the
pump cost $3.89 on average nationwide, up from $3.59 last month and $2.87 last year, according
to the AAA Fuel Gauge report.
Gold was up $14.20, or 0.94%, to $1,531 a troy ounce -- yet another record high for the metal.
Corporate News
http://www.foxbusiness.com/markets/2011/04/28/stock-futures-edge-lower-ahe... 29-Apr-2011
Page 3 of 4
Akami's (NASDAQ:AKAM) second quarter outlook of between 34 and 37 cents a share missed
the Street's view of 38 cents, prompting several downgrades from ratings firms and sending the
stuck deep into the red.
Cisco (CSCO: 17.29, +0.10, +0.58%) is offering early retirement to some employees as part of
its "targeted moves" to refocus the company.
Dow Chemical (DOW: 40.71, +0.79, +1.98%) posted a 34% rise in first-quarter profits amid solid
sales growth and strength in its chemical business.
Exelon (EXC: 42.18, +0.69, +1.66%) plans on acquiring rival energy company Constellation
Energy (CEG: 36.26, +1.96, +5.71%) for $7.9 billion.
Chrysler plans on repaying the U.S. and Canadian government for bailout loans during the
second quarter of 2011.
Aetna (AET: 41.45, +1.64, +4.12%) unveiled first-quarter profits of $586 million, or $1.50 a share,
easily besting estimates of 97 cents. The health insurer also plans on acquiring Prodigy Health
Group for $600 million.
Foreign Markets
The English FTSE 100 traded higher by 0.03% to 6,070, the French CAC 40 was up 0.91% to
4,105 and the German DAX climbed 0.95% to 7,475.
In Asia, the Japanese Nikkei 225 soared 1.6% to 9,849 and the Chinese Hang Seng slid 0.36%
to 23,806.
Print
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5HFRPPHQG
UHFRPPHQGDWLRQV6LJQ8SWRVHHZKDW\RXUIULHQGVUHFRPPHQG
money.cnn.com/2011/05/31//index.htm
1/5
31-May-2011
The S&P 500 ( SPX) added 14 points, or 1.1%, and the Nasdaq Composite
( COMP) gained 38 points, or 1.4%.
The Journal reported that Germany is shifting its stance to consider lending
more money to debt-ridden Greece. Previously, German officials had said that
private investors in Greece should share some of the burden in any new
bailout, but according to the Journal, Germany is now considering lending
additional assistance -- even without private bondholders getting involved.
"The market is battling between growing fears that the U.S. economy is
headed toward another downturn, and some progress on the European debt
problems," said Peter Tuz, president at Chase Investment Counsel.
Markets
Market Movers
US Indexes
Index
Last
Dow
Change
% Cha
12,569.79
128.21
Nasdaq
2,835.30
38.44
S&P 500
1,345.20
14.10
3.05
-0.01
-0
Treasuries
Data as of
symbol
Sponsored by
Home
Equity Loan
Insurance
Credit Cards
Latest
30 yr fixed
4.53%
15 yr fixed
3.77%
5/1 ARM
3.11%
30 yr refi
4.52%
15 yr refi
3.75%
Change
CDs
La
Rate da
by Bank
money.cnn.com/2011/05/31//index.htm
2/5
31-May-2011
Shares of Apple rose 3% after the company said that CEO Steve Jobs, who is
on medical leave, will introduce the iCloud service during the Worldwide
Developers Conference keynote on June 6 in San Francisco.
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Banks, nor Reuters, can be held liable for any irregularity or inaccuracy of BBA LIBOR. Disclaimer. Morningstar: 2011 Morningstar, Inc. All Rights Reserved. Disclaimer The Dow Jones Indexe
proprietary to and distributed by Dow Jones & Company, Inc. and have been licensed for use. All content of the Dow Jones IndexesSM 2011 is proprietary to Dow Jones & Company, Inc. Chic
Mercantile Association. The market data is the property of Chicago Mercantile Exchange Inc. and its licensors. All rights reserved. FactSet Research Systems Inc. 2011. All rights reserved. Mo
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MARKETS
MARKET SNAPSHOT
By Adam Samson
Published June 14, 2011 | FOXBusiness
Print
Share
Get Quote
Recom m end
25
DJIA
Nasdaq
12,076.11
2,678.72
+123.14 +1.03%
+39.03
+1.48%
Last
Change
902.89
+8.11
S&P 500
1,287.87
+16.04
+1.26%
% Change
+0.91%
Today's Markets
The Dow Jones Industrial Average
jumped 123 points, or 1%, to 12,076, the
Reuters
S&P 500 rallied 16 points, or 1.3%, to
1,288 and the Nasdaq Composite
soared 39 points, or 1.5%, to 2,679. The FOX 50 gained 8.1 points to 903.
Every major sector closed in the green on Tuesday. Energy and materials stocks fared the best on the
day after getting knocked down on Monday, while financial issues lagged behind.
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Retail sales were down 0.2% in May, a narrower decrease than the 0.4% Wall
Street anticipated. Excluding automobiles, sales were up 0.3%, which was
inline with analysts expectations.
Prices on the wholesale level were up 0.2% in May, slightly higher than
AMERICAN FAMILY
estimates of a 0.1% increase. Prices were up by the same amount excluding
the food and energy component, which was in line with expectations. Producer 9 ways to teach your kids to save
prices were, however, up 7.3% from last May, higher than the 6.8% economists
United Stationers Hire New Financial Chief
forecast.
Divorces Impact on Your Childrens
College Costs
A major question has been whether significant gains in energy will seep into
the broader price level -- a situation that many economists say is more
Buy a link here
challenging to control. Indeed, Peter Newland, an economist with Barclays
Capital notes "there is increasing evidence of building pipeline price pressures."
The more closely-watched Consumer Price Index is slated for release on Wednesday.
Wall Street also got fresh data suggesting the Chinese economy, the second-largest in the world, might
not be slowing down as quickly as expected.
Despite the sharp rally, many market participants remained wary about the sustainability of the sudden
uptick in confidence on Wall Street.
"Nothing has changed" to suggest the economic picture has brightened, said Peter Kenny, managing
director at Knight Capital Group. "All of the fundamentals point to a slowdown."
After a sharp selloff in recent weeks, market observers noted traders might have been taking advantage of
low prices to hunt for bargains as well.
Today's rally "could be an indication the market is looking for any favorable news on which to begin buying
while prices are still relatively low, wrote David Krein, senior director of product development and
analytics at Dow Jones Indexes, in a research note.
DC Report
Economic Crisis
Apple
Inflation
OPEC
Wall Street Journal
Barack Obama
http://www.foxbusiness.com/markets/2011/06/14/stock-futures-jump-on-upbeat... 14-Jun-2011
Page 2 of 3
Technical trading, which is when traders look for key prices levels and movements, also played in to the
sudden rally, according to Kenny.
On the corporate front, Apple (AAPL: 332.44, +5.84, +1.79%) and Nokia (NOK: 6.26, +0.15, +2.46%)
agreed to settle all pending patent lawsuits and International Trade Commission complaints. Nokia said
the deal will increase its quarterly earnings, pushing shares significantly higher in early trading. The two
companies had been sparring over smartphone patents for months.
LAST 5 STOCKS
The high pace of mergers and acquisitions activity continued into Tuesday. Ericsson (ERIC: 14.06,
+0.32, +2.33%) unveiled plans to buy privately-held Telcordia for $1.15 billion in cash. Graham
Packaging (GRM: 26.28, +0.65, +2.54%) backed a $1.6 billion buyout offer from Reynolds Group and
said it would terminate a prior takeover agreement with Silgan Holdings (SLGN: 40.53, -0.09, -0.22%).
FOX50
FOX 50 INDEX
GS
THE GOLDMAN S...
MSFT
Consumer gasoline prices continue moderating at a fairly slow pace. A gallon of regular gas costs $3.70
on average nationwide, down from $3.96 last month, but still a dollar above the $2.70 drivers paid last
year, according to the AAA Fuel Gauge Report.
GOOG
In metals, gold climbed $8.80, or 0.58%, to $1,524 a troy ounce. Silver was up 67 cents, or 1.9%, to
$35.41 a troy ounce.
MICROSOFT COR...
GOOGLE INC.
XOM
EXXON MOBIL C...
+8.11
902.89
4:02 PM
-0.43
137.10
+0.18
24.22
+3.64
508.37
+1.15
80.38
The euro gained 0.33% against the U.S. dollar and the greenback fell 0.24% against a basket of world
currencies.
Corporate News
Best Buy (BBY: 30.13, +1.31, +4.55%) revealed fiscal first-quarter earnings of 35 cents a share, besting
estimates of 33 cents. The technology retailer saw revenue of $10.94 billion, also topping Wall Streets
forecast of $10.71 billion.
Ford (F: 13.43, +0.29, +2.21%) announced plans to boost its European production, including a $1.2 billion
investment in Spain.
Dryships (DRYS: 3.92, +0.15, +3.98%) was upgraded to "outperform" from "market perform" by analysts
at Wells Fargo, pushing shares sharply higher.
Foreign Markets
Global shares rallied on the positive economic data from China.
The English FTSE 100 was up 0.51% to 5,803, the French CAC 40 climbed 1.5% to 3,865 and the
German DAX jumped 1.7% to 7,205.
In Asia, the Japanese Nikkei 225 soared 1.1% to 9,548 and the Chinese Hang Seng ticked lower by
0.05% to 22,496.
Share
25
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This material may not be published, broadcast, rewritten, or redistributed. 2011 FOX News Network, LLC. All rights reserved.
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The Hindu : Business / Markets : Sensex up 513 pts on oil prices, global c...
1 of 1
http://www.thehindu.com/business/markets/article2131890.ece
Business Markets
Sensex up 513 pts on oil prices, global cues; regains 18K mark
37,
PTI The Bombay Stock Exchange index rose by 513.19 points to 18,240.68, its second largest gain after the 600-point post budget
rally. File
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24-Jun-2011 9:07 AM
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27
DJIA
Nasdaq
12,188.69
2,729.31
+145.13 +1.20%
+41.03
S&P 500
1,296.67
+1.53%
+16.57
Last
Change
908.29
+9.84
+1.29%
% Change
+1.10%
Reuters
AMERICAN FAMILY
New Jersey Gov Signs Pension-Cutting Bill
Best Way to Pay Off a Mortgage
Ban on Drop-Side Cribs Goes Into
Effect
Job Losses
CEOs
Central Bank
JPMorgan Chase
Inflation
Federal Reserve
Oil Prices
European Union
http://www.foxbusiness.com/markets/2011/06/28/stock-futures-drift-lower-ahea... 28-Jun-2011
Page 2 of 4
The rally sent the blue chips for their best daily performance since April.
Energy stocks like Schlumberger (SLB: 84.35, +3.71, +4.60%) were the top
performers on the day by far, tracking steep gains in the commodities complex.
Technology shares such as Electronics Arts (ERTS: 22.55, +0.84, +3.87%)
had a strong showing as well.
While no specific deal was struck Tuesday regarding the volatile Greek debt
situation, there were hopes among market participants that a resolution will be
forthcoming. Headlines regarding Greece have driven Wall Street higher and
lower in recent sessions.
LAST 5 STOCKS
FOX50
FOX 50 INDEX
GS
THE GOLDMAN S...
MSFT
MICROSOFT COR...
GOOG
GOOGLE INC.
XOM
EXXON MOBIL C...
There were sometimes violent protests throughout the day and going into
evening in Athens, Greece amid popular uneasiness over austerity measures
the embattled nation may take in exchange for a $17 billion emergency bailout
from the European Union and International Monetary Fund.
+9.84
908.29
4:01 PM
-1.45
129.26
+0.60
25.80
+10.85
493.65
+1.71
79.63
"The odds remain high ... that the bill will pass but uncertainty persists ahead of the vote," wrote analysts
at BNP Paribas in a research note.
Without the fresh aid package, many analysts suggest, Greece won't be able to pay the tranche of debt
that comes due next month -- forcing it to default. A default by Greece could affect more stable euro zone
members like Spain and Italy, and create a cascading effect that pressures global credit markets.
Energy markets rallied on hopes of a resolution to the Greek debt crisis. The euro jumped 0.49% against
the U.S. dollar and the greenback fell 0.29% against a basket of world currencies.
Light, sweet crude surged $2.28, or 2.5%, to $92.89 -- the biggest leap in more than a month. Wholesale
RBOB gasoline soared 8 cents, or 2.9%, to $2.89 a gallon.
Consumer gasoline prices continue on their downward trend. A gallon of regular gas at the pump costs
$3.55 on average nationwide, down from $3.79 last month, but still well above the $2.76 drivers paid last
year, according to the AAA Fuel Gauge Report.
On the economic front, consumer confidence fell to its lowest level since November 2010 in June,
according to the Conference Board. The index fell to 58.5 from a revised 61.7, far below forecasts of 60.
A pessimistic job outlook weighed on confidence, as more participants said jobs were difficult to get, and
fewer said jobs were plentiful. Inflation expectations, which are closely watched by economists, fell
considerably during the month.
The S&P/Case Shiller Home Price Index showed home prices in 20 major metropolitan areas rose 0.7%
in April on a non-seasonally-adjusted basis, topping estimates of a gain of 0.3%. With seasonal
adjustments, the gauge ticked lower by 0.1%, a shallower loss than the 0.2% Wall Street expected. Prices
were down 4% from a year ago, slightly higher than the 3.9% decrease analysts forecast.
Home prices took a hit during the economic downturn because of high supply and demand that was
weakened by a slew of factors, including a tight mortgage market.
In metals, gold rose $3.80, or 0.25%, to $1,500 a troy ounce. Silver climbed 6 cents, or 0.16%, to $33.65
a troy ounce.
Corporate News
http://www.foxbusiness.com/markets/2011/06/28/stock-futures-drift-lower-ahea... 28-Jun-2011
Page 3 of 4
Goldman Sachs (GS: 129.26, -1.45, -1.11%) tumbled to a two-year low in mid-day trading.
Google (GOOG: 493.65, +10.85, +2.25%) unveiled its new social networking service that takes aim at the
red-hot social market pioneered by firms like Facebook and Twitter.
Lockheed Martin (LMT: 79.44, -0.23, -0.29%) was awarded a $184 million contract to build threat
detection systems for the U.S. Army.
Accenture (ACN: 59.65, +1.86, +3.22%) shares got a boost after Standard & Poor's said the consulting
company would replace Marshall & Ilsley (MI: 7.70, +0.05, +0.65%) on the S&P 500 index next month.
Microsoft (MSFT: 25.80, +0.60, +2.38%) is set to unveil its Office in the cloud software called Office 365,
which is meant to compete with other Internet-based productivity programs made by rivals like Google
(GOOG: 493.65, +10.85, +2.25%) and Zoho.
Sony (SNE: 25.42, +0.16, +0.63%) says it became the subject of a major hacking attempt because it
attempted to protect its intellectual property on video game consoles.
Foreign Markets
The English FTSE 100 climbed 0.88% to 5,773, the French CAC 40 soared 1.5% to 3,855 and the
German DAX jumped 0.94% to 7,174.
In Asia, the Japanese Nikkei 225 jumped 0.74% to 9,649 and the Chinese Hang Seng inched higher by
0.09% to 22,062.
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The Dow Jones Industrial Average climbed 168 points, or 1.4%, to 12,583, the S&P 500 gained 19 points,
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well into the green. For the week, the Dow jumped 5.4%, the S&P 500 rallied 5.6% and the Nasdaq soared
6.2%.
The highly-watched Institute for Supply Management Manufacturing PMI report ticked higher to 55.3 in June
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manufacturing sector, but data on the Midwest region from ISM released on Thursday came in significantly
higher than expectations.
"Pressures from rising commodity costs, plus supply-chain disruptions from Japan's natural disaster have
combined to slow manufacturing's momentum," wrote IHS Chief U.S. Economist Nigel Gault in a research
note. "This report suggests that those pressures may be starting to ease."
Consumer sentiment edged slightly lower to 71.5 in the end of June from 71.8 in the prior reading. Wall
Street forecast the gauge to hit 71.9 for the end of the month. Falling gasoline prices helped push
consumers' inflation expectations down to the lowest level since February.
Construction spending, however, fell 0.6%, the sixth straight month of declines, pushing the gauge to the
lowest level since 1999.
Euro zone finance ministers could agree to release the next $17 billion round of aid to Greece as early as
Saturday, according to a report by the Wall Street Journal. The country that has been struggling with an
enormous public debt burden approved a sweeping, $40 billion austerity package that European authorities
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Energy markets ended the day mixed. The U.S. dollar fell 0.09% against a basket of world currencies and
the euro edged 0.11% higher against the dollar.
Light, sweet crude was off $1.17, or 1.2%, to $94.34 a barrel.Oil, however lurched 4% higher for the week LAST 5 STOC
- the biggest gain since early April.
Wholesale RBOB gasoline gained 3 cents, or 0.11%, to $2.97 a gallon.
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Prices at the pump ticked higher overnight, but have been on a trend lower. A gallon of regular gas costs
$3.55 on average nationwide, down from $3.78 last month, but well higher than the $2.75 drivers paid last
year, according to the AAA Fuel Gauge Report.
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Gold dipped $20.20, or 1.3%, to $1,483 a troy ounce. Silver fell $1.13, or 3.2%, to $33.71 a troy ounce.
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Blackboard (BBBB: 44.17, +0.78, +1.80%) agreed to be taken private by Providence Equity Partners for
$1.6 billion in cash.
Eastman Kodak (EK: 3.07, -0.51, -14.25%) shares plunged after a U.S. trade panel backed an unfavorable
ruling by a judge in the company's patent battle with Apple and Research in Motion.
Apple (AAPL: 343.26, +7.59, +2.26%) and Research in Motion (RIMM: 28.93, +0.08, +0.28%) are among
six companies that bought out bankrupt Nortel Networks' portfolio of patents for $4.5 billion.
Foreign Markets
The English FTSE 100 gained 0.74% to 5,990, the French CAC 40 edged 0.63% higher to 4,007 and the
German DAX rose 0.59% to 7,419.
In Asia, the Japanese Nikkei 225 was up 0.53% to 9,868 and the Chinese Hang Seng soared 1.5% to
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MARKET UPDATE
An early decline gives way to decent gains as traders shrug off worries about Europe and
higher Chinese interest rates. The ISM non-manufacturing index slips. Oil moves lower;
transports flirt with record highs. Netflix gets a downgrade.
By Charley Blaine on Wed, Jul 6, 2011 1:25 PM
34
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US
INTERNATIONAL
NAME
LAST
CHANGE
% CHANGE
12,626.02
+56.15
+0.45
NASDAQ
2,834.02
+8.25
+0.29
S&P
1,339.22
+1.34
+0.10
Russell
2000
845.23
+3.61
+0.43
10 Yr Note
100.13
+0.13
+0.13
DOW
Like
The S&P 500 struggled for gains all day because of energy and financials, two of the three biggest sectors by
market capitalization, which were both lower.
Two factors helped the market, according to CNBC's Bob Pisani: After European markets closed, some of the
selling pressure dissipated. European stocks were lower because of Moody's downgrade of Portuguese debt.
Also, short-sellers have been forced to buy back shares at a premium.
On Thursday, the market will deal with the weekly government report on jobless claims and the ADP National
Employment Index, which looks at private-sector employment. In addition, major retail chains are expected to report
June sales.
Stock Ticker
Story Stocks
In Play
Short Stories
Currencies
NAME
Euro/Dollar
Pound/Dollar
LAST
CHANGE
% CHANGE
1.43287
+0.00062
+0.04
1.60102
+0.00026
+0.02
81.03728
+0.11728
+0.14
Dollar/Yen
1.2%.
The Dow Transports' performance is worth watching.
Transportation companies' order books, particularly those of
railroads, trucking companies and logistics companies like
FedEx (FDX) and United Parcel Service (UPS), are often a signal
of where the economy is headed.
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The Dow Transports are up 7.9% for the year. That beats the gains for the Dow, S&P 500 and Nasdaq.
Gold settled at $1,529.20 an ounce, up $16.50 in New York. The metal is up 3.1% in just two days. Silver settled up
50.6 cents to $35.916 an ounce; it's up 6.6% this week. Copper (-HG) was off slightly to $4.335 a pound.
The catalyst for gold was the worry created by the Portuguese debt downgrade. "Youre getting a flight-to-quality fear
coming in for gold," Adam Klopfenstein, a senior market strategist at broker Lind-Waldock in Chicago, told
Bloomberg News.
The 10-year Treasury yield was at 3.095%, down from Tuesday's 3.136% and Friday's 3.197%.
Energy prices -- New York close
Wed.
Tues.
$96.65
$96.89
1.29%
5.77%
$2.9633
$2.9566
0.58%
16.50%
$4.2170
$4.3630
-3.59%
-4.27%
$2.9976
$2.9774
0.96%
22.19%
$113.62
$113.61
1.01%
19.92%
$3.5690
$3.5620
0.79%
16.18%
(per barrel)
Heating oil (-HO)
(per gallon)
Natural gas (-NG)
(per mil. BTU)
Unleaded gasoline (-RB)
(per gallon)
Brent crude
SPORTS
(per barrel)
Retail gasoline
The employment component was up slightly, while the new-orders component was off a bit. Neither was below 50,
however.
The report is "a reminder that the economy is still pretty sluggish," Paul Ashworth, chief U.S. economist for Capital
Economics, wrote clients today.
The uptick in employment tracks with the economic consulting firm's projection that the Labor Department will
report a gain of 125,000 jobs for June on Friday. The firm expects U.S. growth to accelerate in the second half;
In fact, planned layoffs rose to 41,432 in June, according to outplacement firm Challenger, Gray & Christmas. That's
the second monthly increase in a row, the firm said. But there was some good news: The pace of layoffs through
Walgreen (WAG) gave retailers a boost, reporting a 6.8% overall gain in June sales. Same-store sales, a closely
watched statistic, were up 4.8%. Walgreen shares were up 1.5% to $43.38.
Urban Outfitters also led the S&P 500, followed by Compuware (CPWR), up 5.5% to $10.13, and oil refiner Tesoro
(TSO), up 4.1% to $24.10. The company was raised to "overweight" from "equal weight" at Barclays Capital.
Netflix gets downgraded
Netflix (NFLX), the fourth-best performer among S&P 500 stocks this year with a 64% gain, was up 0.5% to $290.96
despite a rare downgrade from analyst Eric Wold of Merriman Capital. The shares hit an all-time high of $291.23 on
Tuesday.
In a note to clients, he cited: a year of tough year-to-year operating margin comparisons; the potential for
incremental earnings pressures from international launches; and new -- and probably more expensive -- content
relationships. Plus, the stock is near his target of $300 to $330.
Netflix said Tuesday it plans a major expansion into Latin America.
Microsoft (MSFT) was up 1.2% to $26.33. Social networking site Facebook announced a relationship with Skype,
the video service provider. Microsoft, the publisher of MSN Money, is in the process of acquiring Skype.
News Corp. (NWSA) shares were off 3.6% to $17.47 in the wake of an expanding scandal over hacking of private
citizens' cell phones by the company's News of the World newspaper in England.
The 4-year-old phone-hacking scandal widened this week after previously centering on celebrities, politicians and
sports stars.
The Guardian newspaper reported July 4 that a private detective working for the News of the World deleted
messages from the voicemail of murdered schoolgirl Milly Dowler in 2002.
CEO Rupert Murdoch deplored the hacking in his first statement ever on the topic. Major advertisers have been
pulling ads from the newspaper.
Short hits from the markets -- New York close
Wed.
Tues.
0.010%
0.010%
-50.00%
1.648%
1.695%
-6.04%
-18.25%
3.095%
3.136%
-1.99%
-6.35%
4.354%
4.390%
-0.64%
-0.18%
Treasury yields
-91.67%
Currencies
U.S. Dollar Index
75.440
74.985
1.08%
-4.85%
British pound
$1.5992
$1.6069
-0.21%
2.48%
(in U.S. $)
U.S. $ in pounds
0.6253
0.6223
0.21%
-2.42%
Euro in dollars
$1.4306
$1.4428
-1.22%
6.92%
U.S. $ in euros
0.6990
0.6931
1.23%
-6.48%
U.S. $ in yen
81.10
81.06
0.24%
-0.32%
U.S. $ in Chinese
6.49
6.46
0.44%
-1.89%
$1.036
$1.039
-0.16%
3.24%
$0.966
$0.963
1.86%
-3.14%
$1,529.20
$1,512.70
1.76%
7.58%
$4.3350
$4.3475
1.23%
-2.52%
$35.9160
$35.4100
3.11%
16.09%
$6.2700
$6.3550
7.23%
-21.06%
$6.1875
$6.2550
-1.63%
-0.60%
$1.1698
$1.1895
-26.79%
-19.22%
(in U.S. $)
yuan
Canada dollar
(in U.S. $)
U.S. dollar
(in Canadian $)
Commodities
Gold (-GC)
(per troy ounce)
Copper (-HG)
(per pound)
Silver (-SI)
(per troy ounce)
Wheat (-ZW)
(per bushel)
Corn (-ZC)
(per bushel)
Cotton
(per pound)
Coffee
$2.6750
$2.6960
0.81%
11.23%
$96.65
$96.89
1.29%
5.77%
(per pound)
Crude oil (-CL)
(per barrel)
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34 Comments
NEWEST
OLDEST
BEST
WORST
CONTROVERSIAL
1
33 minutes ago
Active RIA
don't get me started ... i can plagiarize with the best of 'em ....
1
35 minutes ago
Active RIA
Stealth Stimulus or SS II
In the near term, the stealth stimulus, while it isn't QE3, should provide enough firepower to get the
economy going again. The Fed won't tighten policy until hiring returns. And until tightening happens,
real interest rates will continue to fall.
The bond market is already beginning to price in a rosier outlook. The deflationary slowdown outlook
that dominated in April and May has given way to a stabilization of inflation expectations. That's a
good thing. And commodities like copper, crude and lumber are all moving off their lows in
anticipation of a rebound in economic activity later this year.
1
38 minutes ago
Active RIA
Your wish is our command ...
Rising inflationary pressures and Japanese supply chain woes (which I wrote about back in
March have pulled down factory activity and consumer confidence. Housing is on the slide again. On
Friday, we learned that this "soft patch" of growth has hit where it hurts most, in the job market.
The May payroll report was disappointing. Payrolls increased by 54,000, a sharp decline from April's
232,000 gain and well short of the consensus estimate of 170,000. What's worse, Wall Street
analysts had just furiously marked down their forecasts. Deutsche Bank cut from 300,000 last week
to 225,000 on Tuesday to 160,000 on Wednesday. The unemployment rate jumped to 9.1%, up from
More
2
50 minutes ago
Not sure, but this might be some good research, for someone to follow-up on ?
1
1 hour ago
1 hour ago
Active RIA
lol, weda, my man. no short-term traders in our shop (but of course a few wild and wooly
peddle-to-the-metal trading accounts on the private side among some of the staff
including individual stocks, chinese reverse merger stocks, and 2x and 3x UltraProShares and
UltraShort Pro ETF's). as the owner and chief investment officer i must follow my advertising and
"eat my own cooking" with our clients though and that means long-term, actively-managed portfolios.
so, just like a solid (profitable) poker player, we constantly evaluate probability vs. possibility for the
current risk/reward relationship. currently there exists an "UNPLEASANT SKEW" (i strongly
recommend all investors google on "unpleasant skew hussman funds" and read the article.
More
1
1 hour ago
Active RIA
thought-provoking post deccster. in our minds china could be a huge house of cards based on
smoke and mirrors, hence we are defensive. a wise man once said:
it is easy to get into trouble (think apple and netflix) ........
and it is fairly easy to stay out of trouble (think cash and inverse bear funds) .....
BUT it is very, very, very difficult to get out of trouble once
you are in it (think of a violent 25% lurch to the downside) ......
More
5
1 hour ago
weda sheeple
Active- "now then johnny, can you tell the class which direction the market is likely to take over the
near-term? feel free to use the chalkb oard if you like ............
"
Uh up? Sideways? A bit up / slightly to the right? What? And...what's a chalkboard, dude?
1
2 hours ago
zak001
2 hours ago
Active RIA
ok class, let's review today's featured article, shall we?
1. Weighing on the market have b een an interest-rate increase in China and a weaker-thanexpected report on the non-manufacturing economy from the Institute for Supply
Management.
2. The S&P 500 struggled for gains all day b ecause of energy and financials, two of the three
b iggest sectors b y market capitalization, which were b oth lower.
3. European stocks were lower b ecause of Moody's downgrade of Portuguese deb t. Also, shortsellers have b een forced to b uy b ack shares at a premium.
More
2
4 hours ago
Nuad ormrac
I swear, reading to this article, it's as if the finance world has taken a trip down the rabbit hole, and
into some sort of illusion of their own making. The word delussional would apply to those making
decisions on the stock market right about now.
6
4 hours ago
zamfph
deccles03
well put....but gotta go and buy a new app
0
4 hours ago
deccles03
continued from below -
The failure of leadership around the world is now complete. Nobody who needs to get it gets it. Our
own money management team here in the USA is in a box even worse than Europe's. It's not even a
hall of mirrors. It's a broke-down Winnebago with moldy upholstery and the propane line is leaking
inside. Everybody's wondering if Ben Bernanke is going to light a cigarette. What else can he do? If
he doesn't keep the QE-ZIRP racket going, the wheels will come off the Winnebago. If he lights that
American Spirit, she'll blow.
The US banking system can easily implode, anyway, if a European nation or two opts out of ECBperistroika. God knows who is a counter-party to whom in the mammoth international cluster**** of
More
16
4 hours ago
deccles03
continued from below -
The proposed restructuring is all about the Great Fear that haunts the inner sanctums of finance
(like the ghost of Caylee haunts America): counter-party obligations on a Burj Dubai of side bets over
things such as the soundness of bonds and the movement of interest rates. The world of money
imagines a thundering crash of cascading defaults as the various counter-parties are revealed to be
broke, naked, and ashamed. And rightly so, because the creakings and groanings of this tower of
paper will not only crash, but burn, too. The bankers can already smell it.
Anyway, let's be clear that money has become a world unto itself now, a self-referential hall-ofmirrors that only sees itself and is increasingly confused by what it sees in that self. Outside that
More
7
4 hours ago
deccles03
From the "news", you'd think the world was in a coma, but I swear I heard ominous bassoon
phrases through the night rain... something large groaning out there in the dark. A great churn,
coming closer. The world is in a box, tortured with its obsolete ideas about how economies are
supposed to run, especially the money part, and the economists are clueless.
A case in point: the eminent Vincent Reinhart at the Council of Foreign Relations. (Conspiracy
theorists just shut your pie-holes):
"There are very few debt defaults... there are a whole lot of restructurings. For most of
More
8
save america
history, default is something the strong declare on the weak when they lose their
patience And if you're members of the same club you're less likely to lose your
2
4 hours ago
I'm banned!
Hide your retirement money, the Progressive desperately need
money to stay in power. They need your retirement cash and will give you and iou. Taking
money out of the stock market will cause it to crash. Hey, after all it's not really your
money. Get in the game, it's time to make an investment in America! It is the only way
Osama can spend and spend and spend and spend. His last words as president were
MO Money, Mo Money, Mo Money. MSN, there is no hyperlink in this message. Are you
trying to tell me something? Give me a break!
More
6
4 hours ago
save america
it is a sorry state of affairs when our dollar, stock market and president seem to be doing OK, only
when compared to the rest of the world.
5
4 hours ago
save america
YEAH! Obam twitters as Washington burns. The stock market rallies and I feel renewed. I have
confidence to wake up tomorrow and face another day.
6
11
5 hours ago
Paul z (PinkFloyd1972)
So called "investors" on "broke street" seem to have forgotten Forrest's Mama's sage advice..."stupid
is as stupid does", because they keep getting "gumped" day in and day out.!!!
6
5 hours ago
littlebigjon
artificial bubble created by manipulation
13
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The Hindu : Business / Markets : Sensex regains 19,000 level after 2 months
1 of 1
http://www.thehindu.com/business/markets/article2207756.ece
Business Markets
Sensex regains 19,000 level after 2 months
37,
PTI The Bombay Stock Exchange benchmark Sensex rose by 351.33 points to 19,078.30, a level last seen on April 29. File photo
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07-Jul-2011 8:26 AM
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DJIA
Nasdaq
12,719.49
2,872.66
+93.47
+0.74%
+38.64
S&P 500
1,353.22
+1.36%
+14.00
Last
Change
946.22
+8.11
+1.05%
% Change
+0.86%
Today's Markets
The Dow Jones Industrial Average rose
93.5 points, or 0.74%, to 12,719, the
S&P 500 climbed 14 points, or 1.1%, to
1,353 and the Nasdaq Composite rallied
38.6 points, or 1.4%, to 2,873. The FOX 50 gained 8.1 points to 946.
Reuters
RELATED STORIES
Costco Sales Surge 18% in
June, Top Estimates
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Health, Nutrition
Businesses
Gap June Sales Edge
Higher on Old Navy,
Banana Republic Demand
Web Sales Drive Macy's
June Sales Growth
Wells Fargo Downgrades
IBM to Market Perform
The Nasdaq has soared 8.3% over the last eight days -- the best eight-day run
in two years.
The private sector tacked on 157,000 jobs last month, according to the ADP
Employment Report. Wall Street had been looking for a much smaller increase
of 68,000 jobs. Small businesses led the increase, adding 88,000 jobs, while
large and medium sized businesses combined attributed 69,000 jobs.
First time claims for unemployment benefits fell to 418,000 from a revised
432,000 the prior week. Economists forecast claims to have fallen to 420,000
for the week.
AMERICAN FAMILY
Boomers Hit the Road as 'Workampers'
Every Purchase Is a Trade-Off
What Defines the Middle Class?
The jobs market was hit hard during the economic downturn, with the
unemployment rate peaking at 10.1% in October 2009. The pace of recovery
has been slow, and recent shocks caused by high energy prices and layoffs
caused by manufacturing slowdowns related to the earthquake that slammed
Japan have put additional pressure on the labor market, many analysts say.
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Sales by retailers like wholesale club Costco (COST: 82.06, -0.58, -0.70%)
and high-end clothing store Saks (SKS: 11.70, +0.29, +2.54%) largely topped
analysts forecasts. On the whole, major stores posted a 6.9% year-to-year gain
in June, according to statistics compiled by International Council of Shopping
Centers.
Interest Rate
Pharmaceuticals
DC Report
Central Bank
Dow Jones
Apple
CEOs
"This is a good report since it clearly indicates that chain store retailers are
benefiting from falling gasoline prices," wrote Chris Christopher, senior
principal economist at IHS Global Insight, in a research note.
"Many retailers were offering lower prices to lure shoppers into their stores it
http://www.foxbusiness.com/markets/2011/07/07/stock-futures-point-higher-as-t... 07-Jul-2011
Page 2 of 3
RELATED VIDEO
Gains in energy markets heated up, with gasoline and oil settling at the highest
levels in three weeks, amid hopes a more robust economic recovery will mean
increasing demand for energy.
Crude stocks fell 889,000 barrels last week, short of the 2.3 million barrel draw
LAST 5 STOCKS
analysts estimated. However, gasoline inventories were down 634,000 barrels,
opposed to forecasts of a 100,000 barrel build. Lower levels of supply can
FOX50
push prices higher.
FOX 50 INDEX
Light, sweet crude gained $2.02, or 2.1%, to $98.67 a barrel. Wholesale
RBOB gasoline soared 13 cents, or 4.3%, to $3.13 a gallon.
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Prices at the pump have been ticking higher over the last two days. A gallon of
regular gasoline costs $3.58 on average nationwide, lower than $3.76 last
month, but well above the $2.72 drivers paid last year, according to the AAA
Fuel Gauge report.
In metals, gold climbed $1.40, or 0.09%, to $1,531 a troy ounce. Silver jumped
62 cents, or 1.7%, to $36.54.
The European Central Bank boosted interest rates by 0.25% to 1.5% as was
expected, as it works to keep inflation in check. The Bank of England,
however, held rates steady. While higher rates help reduce inflation, they can
also slow down economic expansion.
GS
THE GOLDMAN S...
MSFT
MICROSOFT COR...
GOOG
GOOGLE INC.
XOM
EXXON MOBIL C...
+8.11
946.22
5:15 PM
+1.12
135.01
+0.44
26.77
+11.24
546.60
+0.79
82.36
The euro gained 0.27% against the U.S. dollar and the greenback fell 0.1% against a basket of world
currencies.
Corporate News
Retail sales...
Target (TGT: 51.67, +3.23, +6.67%) said its sales in stores open at least a year were up 4.5%, also
beating forecasts of 3.2%.
Costco Wholesale (COST: 82.06, -0.58, -0.70%) posted a 14% jump in same-store-sales last month,
topping estimates of a 12.7% increase.
Macy's (M: 30.46, +1.59, +5.51%) same-store-sales climbed 6.7%, a better reading than the 5.1%
analysts expected.
Elsewhere in corporate news...
NYSE Euronext (NYX: 35.40, +1.04, +3.03%) shareholders approved a merger with Deutsche Boerse, a
critical step in seeing the takeover over the parent of the New York Stock Exchange come to fruition.
News Corp. (NWS: 17.93, -0.01, -0.06%) said Sunday will be the final edition of the News of the World
British tabloid, which has been at the center of a hacking scandal in the U.K. News Corp. is the parent of a
slew of media companies, including the FOX Business Network and FOXBusiness.com.
Apple (AAPL: 357.20, +5.44, +1.55%) said its App Store downloads have topped 15 billion, and it has
paid developers over $2.5 billion to date.
eBay (EBAY: 33.33, +0.41, +1.25%) acquired payment processor Zong for roughly $240 million in cash.
Foreign Markets
The English FTSE 100 gained 0.92% to 6,058, the French CAC 40 climbed 0.6% to 3,985 and the
German DAX rose 0.59% to 7,475,
In Asia, the Japanese Nikkei 225 fell 0.11% to 10,071. The Chinese Hang Seng edged higher by 0.06%
to 22,530.
Print
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Mouse ove
Today's Markets
The Dow Jones Industrial Average
Reuters soared 202 points, or 1.6%, to 12,587,
the S&P 500 climbed 21.3 points, or
1.6%, to 1,327 and the Nasdaq
Composite rose 61.4 points, or 2.2%, to 2,827. The FOX 50 rose 14.5 points to 940.
The so-called "gang of six" U.S. senators proposed a plan that would cut the budget deficit by $3.75 trillion
over the next decade and reform the tax code. If the deal, which received a nod from President Barack
Obama, garnered broad approval from Congress, it could break the deadlock over raising the debt ceiling,
which has been looming over Wall Street for weeks.
RELATED VIDEO
hikes in tuitio
"Anything that pointed to a completion of the debt ceiling debate was going to be
treated as a positive," said Frederic Dickson, chief investment strategist at D.A.
Davidson & Co.
Traders also focused on a bout of corporate earnings and economic
data. Additionally, International Business Machines' (IBM: 185.21, +9.93,
+5.67%) blockbuster performance helped boost traders' sentiment on the day.
AMERICAN FA
RELATED TOP
Recession
The industry for new homes has been struggling to recover because of a glut of houses on the market, and
generally poor housing market conditions. Homebuilers like KB Home (KBM) may be particularly affected
by these data.
Interest Rate
LAST 5 STOC
FOX50
FOX 50 INDEX
Dow components Bank of America (BAC: 9.57, -0.15, -1.54%), Johnson & Johnson (JNJ: 66.72, -0.37,
-0.55%) and Coca-Cola (KO: 69.32, +2.20, +3.28%) all reported before the opening bell.
GS
BofA unveiled a net loss of $8.8 billion, or 90 cents a share, compared with a profit of $3.1 billion, or 27
cents, the year prior. The biggest U.S. bank by assets' loss was in line with analysts expectations.
MSFT
Johnson & Johnson (JNJ: 66.72, -0.37, -0.55%) posted a profit of $1.28 a share, excluding charges, on
$16.6 billion in sales. Wall Street was expecting the maker of medical products to earn $1.24 a share on
$16.23 in revenue.
GOOG
Coca-Cola (KO: 69.32, +2.20, +3.28%) posted net income of $1.17 a share, excluding one-time charges,
on $12.7 billion in sales. The beverage maker beat earnings expectations by a penny, and topped earnings
expectations by 360 million.
Goldman Sachs (GS: 128.49, -0.84, -0.65%) earned $1.85 a share on revenue of $7.3 billion, far shy of
estimates of $2.27 a share on $8.14 billion in sales. Shares of the investment banking giant pared early
losses, though, still closed lower.
Technology behemoth Apple (AAPL: 376.85, +3.05, +0.82%) is set to reveal its earnings after the closing
bell.
Energy markets got a bounce after slumping in the prior session.
Light, sweet crude jumped $1.57, or 1.6%, to $97.50 a barrel. Wholesale RBOB gasoline climbed 2 cents,
or 0.56%, to $3.11 a gallon.
Consumer gasoline prices were stable overnight, but have been on a trend higher. A gallon of regular
gasoline costs $3.68 on average nationwide, up from $3.65 last month and well higher than the $2.72 drivers
paid last year, according to the AAA Fuel Gauge report.
Gold fell $1.30, or 0.08%, to $1,601 a troy ounce after settling at an all-time high on Monday. Silver fell 12
cents, or 0.3%, to $40.22 a troy ounce.
In the foreign exchange market, the euro gained 0.23% on the U.S. dollar, while the greenback fell 0.46%
against a basket of world currencies.
Corporate News
News Corp. (NWSA: 15.79, +0.82, +5.51%) top executives Rupert and James Murdoch testified before
U.K. parliament amid a widening investigation into a phone hacking scandal that forced the shutdown of the
News of the World. News Corp. owns a slew of media entities including FOX Business Network and FOX
THE GOLDMAN S.
MICROSOFT COR.
GOOGLE INC.
XOM
EXXON MOBIL C...
Business.com.
Wells Fargo (WFC: 28.41, +1.53, +5.69%) unveiled profits of 70 cents a share on $20.4 billion in sales for
the second quarter, topping earnings forecasts of 68 cents, but falling slightly short of the $20.5 billion
revenue expectation.
Foreign Markets
European shares snapped back after selling off in the prior session.
The English FTSE 100 gained 0.65% to 5,790, the French CAC 40 jumped 1.2% to 3,695 and the German
DAX climbed 1.2% to 7,193.
In Asia, the Japanese Nikkei 225 fell 0.85% to 9,890 and the Chinese Hang Seng rose 0.45% to 21,902.
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YAHOO! NEWS
Wall Street up on profits, Apple surges late
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The Hindu : Business / Markets : Sensex jumps to 7-day high on HDFC ...
1 of 1
http://www.thehindu.com/business/markets/article2258603.ece
Business Markets
Sensex jumps to 7-day high on HDFC Q1 results, firm global cues
37,
AP The BSE benchmark Sensex on Tuesday surged 147 points to a weeks high of 18,653.87, led by gains in realty, IT and banking
stocks.
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19-Jul-2011 7:22 PM
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By Adam Samson
Published July 21, 2011 | FOXBusiness
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AMERICAN FA
Treasury Finishe
Treasury Sells L
hikes in tuitio
Under the plan outlined by Sarkozy, European lenders would create a fund that will lend to the embattled
nation at between 3.5% to 4%, while private banks will lengthen maturity of their debt from Greece to 30
years. Taken together, these steps will cut the country's public debt by roughly 24%. It is unclear whether
ratings companies will consider the steps a so-called technical default, however.
The European Financial Stability Facility -- which was established in 2010 to aid during difficult times in bond
markets -- will also be empowered to provide assistance in the European bond market when necessary.
RELATED TOP
News of a draft of this plan broke earlier in the day, sending European stock climbing. The euro also hit
session highs, soaring 1.1%.
News Corp.
Earnings season is in full swing this week, with nearly half of all Dow components reporting quarterly profits.
Among them, AT&T (T: 30.28, +0.05, +0.17%), Travelers (TRV: 57.69, +0.63, +1.10%) and Microsoft
(MSFT: 27.10, +0.04, +0.13%) report on Thursday.
Going Green
CEOs
Dow Jones
AT&T revealed it earned 60 cents a share in the second quarter, topping expectations by a penny.
Travelers lost 91 cents a share, a far wider loss than the 64 cents analysts expected. The insurer was hit
hard by claims related to tornadoes that slammed the U.S.
Apple
Morgan Stanley unveiled a loss of 38 cents a share, better than the 62 cents Wall Street forecast. Sales
got a big boost in on the news.
Markets got a boost mid-day boost on a report by the New York Times that President Barack Obama and
Speaker of the House John Boehner were close to a major deal on the U.S. debt ceiling. However, both
sides quickly denied the report, with Boehner tweeting "false" in response to the report.
Weekly claims for unemployment benefits rose to 418,000 from a revised 408,000 last week, according to
the Labor Department, a higher number than the 410,000 economists had expected.
LAST 5 STOC
FOX50
FOX 50 INDEX
The labor market has been a major focus after the monthly unemployment report for June showed dismal job
growth. Additionally, claims have been stuck above the closely-watched 400,000-level for several weeks.
GS
Manufacturing in the Philadelphia area increased more than expected in July. The Philadelphia Federal
Reserve's survey of business conditions rose to 3.2 from -7.7 on the month, topping estimates of a reading
of 2. Readings above 0 indicate expansion, while those less than 0 point to contraction. A regional report by
the New York Fed had come in below expectations earlier in the month.
MSFT
THE GOLDMAN S.
MICROSOFT COR.
GOOG
GOOGLE INC.
Also on the corporate front, Express Scripts (ESRX: 55.36, +2.82, +5.36%) said it plans on acquiring its
rival Medco Health Solutions (MHS: 63.83, +8.05, +14.43%) for $29.1 billion in cash and stock.
XOM
EXXON MOBIL C...
Energy markets were mixed despite a weakening dollar. Light, sweet crude gained 73 cents, or 0.74%, to
$99.13 a barrel. Wholesale RBOB gasoline tumbled 5 cents or 1.5%, to $3.10 a gallon.
Gasoline prices on the consumer level are once again making their way higher. A gallon of regular at the
pump costs $3.69 on average nationwide, up from $3.64 last month and well higher than the $2.72 drivers
paid last year, according to the AAA Fuel Gauge report.
Gold fell $9.90, or 0.62%, to $1,587 a troy ounce. Silver slid 61 cents, or 1.5%, to $38.95 a troy ounce.
Corporate News
Goldman Sachs (GS: 135.58, +2.83, +2.13%) won dismissal of a suit that alleged the investment bank
mislead investors in a certain collateralized debt obligation, 2007-1.
Foreign Markets
The English FTSE 100 rose 0.79% to 5,900, the French CAC 40 jumped 1.7% to 3,817 and the German
DAX climbed 0.95% to 7,290.
In Asia, the Japanese Nikkei 225 rose 0.04% to 10,010 and the Chinese Hang Seng edged lower by
0.07% to 21,987.
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The Hindu : Business News : Sensex vaults 440 points; regains 16K level
1 of 1
http://www.thehindu.com/business/article2518047.ece
Business
Sensex vaults 440 points; regains 16K level
37,
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07-Oct-2011 10:16 AM
The Hindu : Business / Markets : Sensex jumps 325 points led by RIL, In...
http://www.thehindu.com/business/markets/article2525728.ece
Business Markets
Sensex jumps 325 points led by RIL, Infosys amid firm global markets
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10-Oct-2011 10:37 AM
1 of 1
http://www.thehindu.com/business/markets/article2517198.ece
Business Markets
Sensex up by 533 points in early trade
37,
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Published October 10, 2011 | FOXBusiness
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While bond markets in the U.S. were closed for the holiday, the bulls on Wall
Street did anything but stay home, sending the blue chips to their biggest oneday point gain since August 11. Rallying for the fourth time in five sessions, the
benchmark index has surged about 775 points over the past week amid signs
Europe is finally racing to get its debt debacle under control before it sends the
U.S. to a double-dip recession.
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Over the weekend German Chancellor Angela Merkel and French President
Nicolas Sarkozy promised to take action before the end of October to fix the
continent's debt mess and shore up their banks. The leaders of the two largest
euro-zone countries said they are close to a deal to recapitalize embattled
European lenders. However, Merkel and Sarkozy stopped short of laying out
specifics of a plan.
Because of Europe's ties to the global financial and economic systems, the deepening sovereign debt
crisis has hurt stocks and growth around the world in recent months.
In another sign Europe is attempting to get the crisis under control, France and Belgium quickly teamed up
to nationalize and break up municipal lender Dexia, which had been teetering on the verge of collapse due
to its enormous exposure to Greek bonds. Dexia, which appears to be the first banking victim of the
current crisis, quickly reached a deal to receive $121 billion in state guarantees and sell its Belgium unit to
the government for $5.4 billion.
They werent playing games with that. It wasnt dragged on, for a change, said Kenny.
Earnings Season Looms
Tech stocks also rallied in the U.S. as Apple (AAPL: 388.81, +19.01, +5.14%) said it sold a record 1
million iPhone 4S devices in a single day and IBM (IBM: 186.62, +4.23, +2.32%) hit a new record high.
All 30 blue-chip stocks landed in the green, led by banking giants Bank of America (BAC: 6.28, +0.38,
+6.44%) and JPMorgan Chase (JPM: 32.30, +1.60, +5.21%). Economically-sensitive stocks like
Caterpillar (CAT: 79.13, +3.61, +4.78%) and General Electric (GE: 16.14, +0.64, +4.13%) also rallied,
while safer plays such as McDonalds (MCD: 88.51, +1.31, +1.50%) and Procter & Gamble (PG: 64.80,
+0.89, +1.39%) saw smaller percentage gains.
Commodities weren't left out of the Columbus Day rally as crude oil soared $2.43, or 2.93%, to $85.41 and
gold gained $35.00 a troy ounce, or 2.14%, to $1,674.40.
Meanwhile, Wall Street is gearing up for the start of another earnings season, which is set to kick off after
Tuesday's closing bell when aluminum maker Alcoa (AA: 10.09, +0.38, +3.91%) releases its quarterly
results. Whether or not companies are able to meet and even exceed expectations for earnings is likely to
be a key driver for stocks for the next several weeks. Financial stocks are expected to disclose steep
declines in quarterly profits.
Its worth noting Mondays big rally was backed up with little volume due to the holiday. Typically investors
would like to see more conviction behind big moves. There was remarkably little volatility during most of
the session as the Dow moved in a tight trading range of less than 50 points until the final burst of buying.
Last week U.S. stocks stopped their slump, with the Dow rallying 1.7% and the Nasdaq Composite leaping
almost 3% amid hopes policymakers in Europe are finally taking the crisis seriously. However, stocks
closed in the red on Friday as enthusiasm for a better-than-expected jobs report was drowned out by a
credit ratings downgrade for both Spain and Italy.
http://www.foxbusiness.com/investing/2011/10/10/markets-discover-300-point-r... 10-Oct-2011
Page 3 of 4
If the European debt crisis were to suddenly disappear, stocks would appear very cheap (some would say
dirt cheap), but of course the uncertainty over the debt crisis remains the critical wildcard, Bob Doll, chief
equity strategist at BlackRock, wrote in a note.
Corporate Movers
Netflix (NFLX: 111.62, -5.59, -4.77%) abandoned its unpopular plan to separate its DVD-by-mail service
and rename it Qwikster, caving to customer dissatisfaction. The company's stock initially leaped on the
announcement, but then retreated on a downgrade to "neutral" from "outperform" by Wedbush.
Sprint Nextels (S: 2.22, -0.49, -18.08%) stock plunged another 8% to 2009 levels after a slew of analysts
downgraded the No. 3 wireless company. Sprints stock has been in free fall on concerns about the need
to raise more cash due to costly plans to roll out its own 4G network and sell the iPhone.
Yahoo! (YHOO: 15.84, +0.37, +2.39%) jumped 2% as Reuters reported co-founder Jerry Yang is
interested in teaming up with private-equity firms to take the struggling Internet giant private. Meanwhile,
Bain Capital has emerged as another potential suitor for Yahoo! and Chinese Internet company Alibaba
has reportedly held talks with Singapores Temasek about providing financing to buy the 40% investment
Yahoo! holds in itself.
Superior Energy (SPN: 23.63, -3.78, -13.79%) agreed to be acquire energy services company Complete
Production Services (CPX: 28.42, +8.04, +39.45%) for $6.2 billion. The $32.90-a-share deal represented
a 62% premium on Completes close on Friday.
Global Markets
London's FTSE 100 rose 1.80% to 5399.00, Germany's DAX surged 3.02% to 5847.29 and France's CAC
40 rallied 2.13% to 3161.47.
In Asia, the Japanese Nikkei 225 was closed for a holiday, but Hong Kong's Hang Seng inched up 0.02%
to 17711.10.
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The Hindu : Business News : Sensex vaults 422 points as Infosys beats es...
1 of 1
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Business
Sensex vaults 422 points as Infosys beats estimates
37,
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12-Oct-2011 11:14 AM
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The Hindu : Business / Markets : Sensex regains 17K level after 3 weeks, ...
1 of 1
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Business Markets
Sensex regains 17K level after 3 weeks, led by RIL, Infosys
37,
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14-Oct-2011 5:42 PM
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Gold gained $14.50, or 0.87%, to $1,683 a troy ounce. Copper leaped 10 cents, or
3.1%, to $3.41 a pound. The benchmark 10-year Treasury note recently yielded
2.239% from 2.185%.
On the economic front, retail sales jumped 1.1% in September, or 0.6% excluding the
automobile sector. Analysts forecast gains of 0.7%, or 0.3% excluding vehicles. Sales
held up "surprisingly well" despite the market turmoil and still weak labor conditions,
according to Peter Boockvar, managing director at Miller Tabak + Co. Business
purchases have helped buoy vehicle sales despite weakness in the consumer sector in
the past two years, according to a research note from Goldman Sachs.
Consumer sentiment, however, took an unexpected fall in early October. The
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Business
Sensex up 337 points
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MARKETS
MARKET SNAPSHOT
By Adam Samson
Published October 20, 2011 | FOXBusiness
Print
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3
DJIA
Nasdaq
11,541.78
2,598.62
+37.16+0.32%-5.42 -0.21%
S&
500
1,2
RELATED TOPICS
The Dow Jones Industrial Average rose 37.2 points, or 0.32%, to 11,542, the S&P 500
gained 5.5 points, or 0.46%, to 1,215, and the Nasdaq Composite fell 5.4 points, or
0.21%, to 2,599.
Central Bank
Trading has been particularly ferocious over the past two weeks; indeed, the Dow has
closed in opposing directions for ten-straight sessions.
Yahoo!
New York
Mercantile
Exchange
Monetary Policy
Oil Prices
Microsoft
Deutsche Bank
Financials were the leader of the session, with big banks like JPMorgan (JPM: 33.13,
+0.88, +2.73%) posting sizeable gains. However, technology stocks performed poorly,
helping to drag the tech-heavy Nasdaq into the red on the day.
Market participants are paying close attention to Europe, where policymakers are
struggling to craft a unified solution to tackle the 17-member currency bloc's debt
crisis. Indeed, the crisis seemed to be reaching a boiling point as violent protests
against fresh austerity measure broke out across beleaguered Greece, and the spread
between German debt and that of periphery nations edged higher ahead of the
weekend summit. German bunds are seen as Europe's safe-haven assets, so when
traders look to reduce risk, they would purchase bunds and sell other government
securities, widening the spread.
However, France and Germany -- the region's economic superpowers -- said Thursday
a solution for the debt crisis would be drafted on this weekend, and finalized no later
than next week. While U.S. markets got a boost on the news, it came too late to help
European markets that closed sharply to the downside.
The euro rose 0.2% to $1.38, while the dollar fell 0.18% against a basket of world
currencies. Euro zone blue chips plunged 2.5% on Thursday.
Emerging
Markets
NASDAQ
Composite Inde
LAST 5 STOCKS
FOX50
FOX 50
INDEX
+1.93
5:17 PM
884.88
GS
+0.07
100.86
4:00 PM Report: Slew o
THE
Private-Equity
GOLDMAN
MSFT
-0.09
27.04
4:00 PM Microsoft 1Q
MICROSOFT
EPS Meets
COR...
"The European sovereign debt crisis affects investors everywhere," analysts at HSBC
wrote in a research note, adding the crisis is "hugely complex."
GOOG
Also on the European front, Greece's parliament approved fresh austerity measures
that, while unpopular among the population, are key to getting fresh rescue aid that will
help the ailing country stave off a bailout.
XOM
+2.97
583.67
GOOGLE 4:00
INC. PM AT&T's 3Q
Revenue Shrin
+0.28
78.71
EXXON 4:00 PM Iraq, Oil Major
Agree To Build
MOBIL C...
Data Dump
Several key economic reports were released on Thursday.
21-Oct-2011 5:03 AM
3 of 5
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New claims for unemployment benefits fell to 403,000 from 409,000 the week prior, but
checked in higher than the 400,000 economists had been expecting. Claims have
been hovering about the 400,000 level for months, and represent one of many gauges
that suggest the labor market is still struggling.
Earnings in Focus
Earnings season is in full swing with almost half of all Dow components and more than
20% of the S&P 500 reporting this week.
American Express (AXP: 46.19, +0.06, +0.13%) posted earnings that topped
expectations, and sales that met forecasts. AT&T's (T: 28.99, -0.10, -0.34%) quarterly
revenue missed analysts' expectations, while its bottom-line matched estimates.
Technology heavyweight Microsoft (MSFT: 27.04, -0.09, -0.33%) is set to report after
the closing bell.
Also on the corporate front, Silver Lake Partners, Microsoft and others are working on a
bid for struggling technology firm Yahoo! (YHOO: 16.18, +0.24, +1.51%), the Wall
Street Journal reported.
Energy markets moved to the upside on the back of the better-than-expected
manufacturing report. Light, sweet crude fell 81 cents, or 0.94%, to $85.30 a barrel.
Wholesale RBOB gasoline gained less than a penny to $2.68 a gallon.
In metals, gold dropped $34.10, or 0.94%, to $1,613 a troy ounce. Silver plunged
$1.00, or 3.2%, to $30.28 a troy ounce.
Yields on government debt were slightly higher. The benchmark 10-year Treasury note
yielded 2.205% from 2.164%. Bond yields move in the opposite direction of prices.
Foreign Markets
The Euro Stoxx 50 fell 2.5% to 2,271, the English FTSE 100 slid 1.2% to 5,385, and
the German DAX dipped 2.5% to 5,766.
In Asia, the Japanese Nikkei 225 dropped 1% to 8,682 and the Chinese Hang Seng
tumbled 1.8% to 18,983.
Print
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Wall Street's Surge Launches Dow Into Green For Year | Fox Business
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Wall Street's Surge Launches Dow Into Green For Year | Fox Business
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the markets, as traders have fretted that the debt and financial
crises will spread from the periphery to the core, potentially
causing a threat to major global economies.
Germany and France -- Europe's economic superpowers -conceded late Thursday that a solution will not be finalized at
this weekend's summit, but one would be announced no later
than the following Wednesday. Developments Friday
suggested the 17-member currency bloc may be nearing a
compromise on how to structure the region's bailout fund, the
European Financial Stability Facility. The Austrian finance
minister said the group is down to two options on how to
leverage the EFSF.
Previous media reports have suggested that one option the
group is considering is allowing the EFSF to sell troubled
sovereign debt it acquires straight to the European Central
Bank. This, economists say, would dramatically enhance the
EFSF's firepower because its capital won't get locked up in
buying debt, and the ECB has theoretically limitless buying
abilities. However, this has made Germany uneasy, so there
has also been a proposal to allow the EFSF to leverage using
commercial banks, which would be considerably more
restrictive.
This comes as the international community, including the U.S.,
has turned up the heat on EU officials to stem the crisis before
it does more damage to global economies. The markets have
added pressure too, with the spread between European
safe-haven bonds, the German bund, and other sovereign debt
widening markedly this month, meaning investors are
demanding higher yields to hold the relatively riskier sovereign
debt. This makes it more expensive for countries to borrow,
and creates a feedback loop that worsens the crisis.
European traders remained optimistic that officials will be able
to draft a solution by next week. Indeed, euro-zone blue chips
leaped nearly 3%, and the euro rose 0.67% to $1.39. The
dollar fell 0.71% against a basket of world currencies.
A heavy earnings week comes to a close today. Nearly half of
Dow components, and more than 20% of the S&P 500 will have
reported by the end of the day.
Big Earnings Week Ends on High Note
McDonald's third-quarter net of $1.45 a share topped analysts'
predictions by two cents. The fast-food giant benefited from a
bigger-than-expected increase in same store sales.
22-Oct-2011 9:50 AM
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Data as of 5:16:00pm ET
DJIA
+267.01 11,808.79
NASDAQ+38.84
2,637.46
1,238
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+12.82
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22-Oct-2011 9:50 AM
The Hindu : Business / Markets : Sensex up 154 points, fag-end selling eas...
1 of 2
http://www.thehindu.com/business/markets/article2567737.ece
Business Markets
Sensex up 154 points, fag-end selling eases early gains
37,
PTI A securityman person stands guard near the Bombay Stock Exchange whose benchmark Sensex gained 153.64 points to
at 16,939.28 on Monday. File photo
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24-Oct-2011 6:41 PM
The Hindu : Business / Markets : Sensex up 154 points, fag-end selling eas...
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24-Oct-2011 6:41 PM
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The Dow Jones Industrial Average rose 105 points, or 0.89%, to 11,914,
the S&P 500 gained 15.9 points, or 1.3%, to 1,254, and the Nasdaq
Composite climbed 62 points, or 2.4%, to 2,699.
The blue chips have been moving steadily higher in the past several
weeks, climbing more than 9% for the month so far, and into the green
for the year. Indeed, if the Dow can hold its gains for another week, this
will be the best month for the benchmark index since 2002.
Broader indices have performed well as well; indeed, the Nasdaq
climbed into the green for the year Monday, and the S&P 500 sits just
points away.
69.65
-3.35
42.94
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28.26
+0.57
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The rally on Monday was broad, with only utilities and consumer staples
like Procter & Gamble (PG: 65.37, -0.89, -1.34%) struggling. Miners
and financials performed the best on the day; for example, FreeportMcMoRan Copper & Gold (FCX: 39.50, +2.92, +7.98%) zoomed close
to 10% higher.
More than 90% of the shares listed on the Nasdaq 100 index of nonfinancial companies were in the green, and a dozen big-name retailers
hit all-time highs. Volatility, as measured by the VIX, dropped 5.6% in a
sign of easing concerns on Wall Street.
Mayo Concedes He
Dialed Wrong Number
Netflix Warns of 1Q
Loss, Shares Plunge
AT&T CEO:
Tremendous Demand
for Free iPhone 3GS
Merger Monday
Caterpillar posted third-quarter earnings of $1.71 a share, topping
estimates of $1.54. The world's biggest heavy-machinery manufacturer
said its sales were $15.72 billion, also beating expectations of $15.03
billion.
Federal Reserves
Bailout of the Rich and
Well-Connected
http://www.foxbusiness.com/investing/2011/10/24/caterpillar-deal-making-ignit...
24-Oct-2011
Page 2 of 4
Hot Halloween
Costumes for 2011
Show More
Mattel (MAT: 28.26, +0.57, +2.06%) scooped up the Thomas & Friends
and Bob the Builder lines with its acquisition of Hit Entertainment from a
group led by Apax partners for $680 million.
Europe Still in the Spotlight
Market participants have been paying close attention to euro zone,
where leaders met this weekend in Brussels to work out a solution to
the 17-member currency bloc's debt crisis. A final decision has been
postponed to a second summit on Wednesday, however, reports
suggest leaders made some progress.
"Further work is still needed and that is why we will take the decisions in
the follow-up euro zone summit," Reuters quoted European Council
President Herman Van Rompuy as saying after the summit.
The new package to tackle the crisis will involve recapitalzing the
region's struggling banking sector, restructuring Greece's sovereign
debt, and a significant increase in the size of the rescue fund, called the
European Financial Stability Facility, according to the Wall Street
Journal. However, disagreements reportedly remained on how to
leverage the EFSF, and other specifics.
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24-Oct-2011
Page 3 of 4
Corporate News
Federal Express (FDX: 81.52, +2.18, +2.75%) says it expects to move
a 260 million packages this holiday season, a 12% increase from last
year. The shipping company also plans on hiring 20,000 seasonal
workers.
Kimberly-Clark (KMB: 69.65, -3.35, -4.59%), the maker of Kleenex
tissues, posted an 8% drop in its quarterly profits, meeting analysts'
expectations.
Foreign Markets
The Euro Stoxx 50 jumped 1.4% to 2,369, the English FTSE 100 rose
1.1% to 5,548 and the German DAX gained 1.4% to 6,055.
In Asia, the Japanese Nikkei 225 jumped 1.9% to 8,844 and the
Chinese Hang Seng spiked 4.1% to 18,772.
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24-Oct-2011
1 of 2
http://www.thehindu.com/business/markets/article2570824.ece
Business Markets
Samvat 2067 ends on positive note
37,
The Hindu In volatile trade on Tuesday, the BSE Sensex added 315.58 points at 17,254.86 after touching a high of 17,322.13 a
dipping to a low of 16,900.26. File photo
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25-Oct-2011 6:59 PM
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Recouping most of the previous days tumble, the blue chips soared
almost 200 points on Wednesday as Wall Street cheered further
progress on Europes bailout plans and shrugged off leaders inability to
reach a comprehensive agreement on key sticking points.
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I think its just an overall resilient, bullish sentiment thats taken hold of
the market, which is really continuing to have an optimistic tone, said
Michael James, managing director of equity trading at Wedbush
Securities.
Most of the focus was on Europe's efforts to solve its sovereign debt
debacle. A number of positive developments emerged, including a
report from The Wall Street Journal saying French President Nicolas
Sarkozy planned to reach out to Chinas President Hu Jintao about
contributing to the euro-zone bailout fund, the European Financial
Stability Facility. While EU nations are struggling to commit enough
cash, Chinas coffers are far deeper.
Further, Reuters reported euro-zone nations at the summit signed off on
plans to leverage the EFSF several fold and Germany's parliament has
already agreed to use leverage. Leveraging the EFSF is crucial to
increasing its firepower and making it robust enough to tackle the crisis
in larger euro-zone nations such as Italy, should the need arise. Utilizing
leverage has been a major point of contention among many
governments.
Ford's 3Q Surpasses
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26-Oct-2011
Page 2 of 5
Mayo Concedes He
Dialed Wrong Number
Additionally, a draft agreement from the summit said the EFSF can act
as a risk insurance and special purpose vehicle, further ramping up its
usefulness in providing rescues. Any plan will need to be approved by
the parliaments of all 17 countries in the bloc, where varying political
tensions have come into play. Germany -- Europe's economic
powerhouse -- has been pushing to reduce its involvement in sovereign
bailouts, while at the same time emphasizing the importance of the
euro.
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The Hindu : Business / Markets : Sensex jumps by 516 points, biggest gain...
1 of 1
http://www.thehindu.com/business/markets/article2576966.ece
Business Markets
Sensex jumps by 516 points, biggest gain in 2 months
37,
PTI A broker reacts as the Sensex surges by nearly 500 points at the BSE building in Mumbai on Friday.
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Despite the Dow's lethargic performance on the day, the blue-chip index MORE STORIES
powered 422 points higher this week, marking its fifth straight weekly
gain as it heads for the best monthly performance in 24 years.
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All eyes are still fixed on Europe, however, even after policymakers
Thursday crafted a plan to tackle the region's debt crisis that has
threatened some of the world's biggest economies. Doubts still remain
among analysts as to whether the euro zone's $610 billion rescue fund,
even after substantial leveraging, will be enough to tackle future
sovereign debt crises, particularly if they strike big economic players,
like Italy.
Anti-Facebook Social
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The currency bloc is hoping China may make an investment in the fund,
taking advantage of its strong position in currency markets. However,
European and Chinese leaders downplayed that notion on Friday,
according to several media reports from Asia and Europe.
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Foreign Markets
European blue chips fell 0.18%, the English FTSE 100 dipped 0.2% to
5,702 and the German DAX fell 0.2% to 6,346.
In Asia, the Japanese Nikkei 225 jumped 1.4% to 9,050 and the
Chinese Hang Seng soared 1.7% to 20,019.
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MORE STORIES
Fed Cuts GDP
Forecast, Ups
Unemployment
Expectations
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Filing Is Wrong
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The Fed also pared back its economic growth forecasts for 2011 and
2012, and said also said it expects the unemployment rate to remain
higher than previously expected. For this year, the central bank expects
expansion of 1.6% to1.7% from 2.7% to 2.9%, and revised its growth
expectations for next year to 2.5% to 2.9% from 3.3% to 3.7%. It
expects unemployment to remain above 9% for the rest of this year, and
recede as low as 7.8% or as high as 8.2% next year.
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Greece to Hold
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MF Global Bankruptcy
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European pressure
forced Greece to seek
political consensus on a
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Reuters
Notching its second-straight triple-digit rally, Wall Street continued to erase its
early-week plunge as bullish traders cheered signs Greece may abandon plans
for a referendum on its bailout and a number of other developments on the
European front.
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The latest upswing was set in motion by the events in Greece, which
appears to be moving away from the idea of holding a referendum on
the rescue aid it was expected to receive. The Greek public has
violently protested many of the austerity measures international lenders
have pushed for as a condition of the bailout. A "no" vote in a
referendum, analysts say, could leave the highly-indebted country with
no other choice but to default when its next bond payment comes due
next month -- a result that could damage larger economies and slam the
global financial system.
Show More
Reports also swirled that Papandreou was going to resign, paving the
way for a unity coalition run by Lucas Papademus, a former governor of
the Bank of Greece. While the resignation never materialized,
Papandreou said he wants the legislature to hold a no-confidence vote
on Friday.
Meanwhile, new ECB President Mario Draghi made a splash by
unexpectedly slicing a key interest rate by 0.25 percentage points to
1.25% on Thursday The ECB had been previously balancing concerns
over the escalating debt crisis with worries low interest rates may lead
to higher levels of inflation.
After another whirlwind day, European blue-chip stocks closed sharply
higher, leaping 2.5%, while the euro gained 0.52% to $1.3819.
The crisis in Europe has already begun impacting U.S. banks. MF
Global, previously a major player in the derivatives market, filed for
Chapter 11 bankruptcy protection less than a week after reporting a
$6.3 billion exposure to European sovereign debt. Investment
bank Jefferies (JEF: 10.75, -1.52, -12.39%) shares plunged 20% on
Thursday due to concerns about its own exposure. However, its stock
raced back and even briefly turned positive after it released a statement
saying it has "no meaningful net exposure" to these assets.
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Corporate Movers
Kraft (K: 49.91, -4.13, -7.64%) slumped almost 8% amid
disappointment over its steeper-than-expected 17% slide in third-quarter
earnings and lowered guidance. Even the more optimistic end of the
new range would trail the Street's view.
Qualcomm (QCOM: 56.11, +3.93, +7.53%) raced 7% higher a day after
reporting a 22% rise in quarterly profits that exceeded estimates. The
mobile chip maker also issued a bullish guidance for its new fiscal year.
Foreign Markets
European blue chips rose 2.5%, the English FTSE 100 rose 1.2% to
5,552 and the German DAX jumped 2.8% to 6,132.
In Asia, the Japanese Nikkei 225 dropped 2.2% to 8,640 and the
Chinese Hang Seng tumbled 2.5% to 19,243.
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37,
The Hindu Busy employees at a stock broker's office in Mumbai. File photo
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Wall Street staged a fierce rally in the final hours of trading on Tuesday after it
was revealed Italy's prime minister would resign, potentially paving the way for
the euro zone's third-biggest economy to enact much-needed reforms aimed at
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Italy, which has a 120% debt to economic output level, has seen the
yields on its benchmark 10-year note spike to above 6.8% -- a fresh
euro-era high -- as worries have mounted it may need a rescue like its
peers, such as Greece, have recently required.
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Wall Street zipped higher on the heels of the worst selling frenzy in
months as traders reacted to upbeat corporate news, encouraging
economic data and kept close tabs on Europe.
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Overall, energy and heath care issues fared the best by far, while
utilities and financials lagged behind. Volume on the Big Board has
remained close to average levels over the past two days, indicating
many market participants may be staying on the sidelines.
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10-Nov-2011
Page 2 of 4
In what was a stark contrast from the powerful selloff Wednesday that
knocked the S&P 500 and Nasdaq into the red for the year, volatility fell
by more than 8%, while the yield on U.S. government debt edged higher
in calmer trading. The 10-year Treasury note yields 2.056% from
1.997%.
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The difference between exports and imports figures directly into broader
measures of economic output.
'Question Marks Abound' for Europe
Headlines from Europe have been a major driver of sentiment for the
past several sessions, and still contributed to swings on Thursday.
Italy -- one of the world's biggest economies -- is in the throes the
European debt crisis, having seen its borrowing costs surge to
unsustainable levels, igniting fears that it will lose access to financing in
the private market. If that were to happen, the country that has $2.6
trillion in public debt would need international support and risk
defaulting, which analysts fear could rock the global financial system.
The country's parliament pushed a key vote on several economic
reforms to this weekend, which was seen as a positive by market
participants. European leaders have strongly pressured the country to
take on reforms to cut its public debt down. Additionally, Prime Minister
Silvio Berlusconi agreed to step down after the vote, paving the way for
a new leader to push the reforms. Italy's President, Giorgio Napolitano,
took steps to boost the standing of Mario Monti, a well-respected
economist that may be tapped to lead the emergency government
there.
Italy also auctioned 1-year notes Thursday morning. The auction was
seen by strong as analysts, but the country was forced to pay a steep
rate of 6.087%. The European Central Bank also bought Italian bonds in
a bid to keep yields down, according to reports.
Still, market participants have struck a cautious tone: "Political
uncertainty in Italy prevails as question marks abound around the
budget," analysts at Nomura wrote in a note to clients.
Also on the European front, Greece chose former European Central
http://www.foxbusiness.com/investing/2011/11/10/rebound-wall-street-stages-...
10-Nov-2011
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Today's Markets
11
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In a sign of the breadth of the rally, every Dow component was in the
green, led by surging Disney (DIS: 36.70, +2.06, +5.95%) shares. The
owner of famous American brands like Mickey Mouse and ESPN posted
earnings that far exceeded expectations.
Volatility, meanwhile, plummeted 8.6% as traders piled back into the
markets for a second-straight day after fleeing on Wednesday in the
worst rout in months.
It has been a tumultuous week for Wall Street as market participants
have parsed through a deluge of headlines on the euro zone's
sovereign debt crisis. Indeed, even with a steep selloff on Monday, the
rally was powerful enough to knock the S&P 500 and the Nasdaq into
the green for the year.
Italy, the euro zone's third-biggest economy, is making headway on
passing economic reforms that analysts see as a crucial part of
knocking down its enormous $2.6 trillion public debt load. The country's
Senate approved a key debt-reduction law on Friday, which paves the
way for final approval over the weekend. Additionally, Prime Minister
Silvio Berlusconi agreed to resign after the law is passed, potentially
opening the door to the formation of an emergency coalition government
that may be led by former European Union Competition Commissioner
Mario Monti. Monti is seen by many analysts as having the capacity to
run an emergency government that is capable of passing the reforms.
Italy saw its 10-year bond yields spike above 7% on Wednesday -- the
level that forced Greece, Ireland and Portugal to require a bailout from
EU governments and the International Monetary Fund. The yield has
fallen close to a percentage point from the highs on Wednesday,
however, according to data compiled by FOX Business. With the
country's much more prominent economic standing, it has become more
crucial than ever, analysts say, for Italy to convince the markets it can
adapt reforms so it can sustain itself to retain access to financing in the
private marketplace.
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Page 2 of 3
Very Serious
"We are not out of the woods just yet," Manoj Ladwa, a senior trader at
London-based ETX Capital, warned in an interview with FOX Business,
citing the still-dicey political climate in Europe and the bounty of
economic data on tap for next week.
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Retailers like Wal-Mart (WMT: 59.20, +1.07, +1.84%) and Best Buy
(BBY: 28.09, +0.79, +2.89%) may be particularly affected by these data.
The consumer sector is also a major part of the broader economy, so a
large swath of other companies may be affected as well.
In energy markets, crude oil prices are heading back toward the $100
mark after moderating in recent weeks. The benchmark WTI contract
traded in New York climbed $1.21, or 1.2%, to $98.99 a barrel.
Wholesale RBOB gasoline fell 3 cents, or 1.3%, to $2.60 a gallon.
Gold rose $28.50, or 1.6%, to $1,788 a troy ounce. U.S. government
debt markets are closed for the Veterans Day holiday.
Foreign Markets
European blue chips soared 3.1%, the English FTSE 100 climbed 1.9%
to 5,445 and the German DAX rallied 3.2% to 6,057.
In Asia, the Japanese Nikkei 225 edged 0.16% higher to 8,514 and the
Chinese Hang Seng jumped 0.91% to 19,137.
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11-Nov-2011
The Hindu : Business / Markets : Sensex climbs 200 points in opening trade
1 of 1
http://www.thehindu.com/business/markets/article2626427.ece
Business Markets
Sensex climbs 200 points in opening trade
37,
The Hindu Traders in Kochi celebrate a spike in the Sensex. File photo
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http://money.cnn.com/2011/11/14/markets/oil_prices/index.htm?hpt=hp_t2
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comments
By James O'Toole November 14, 2011: 4:01 PM ET
Markets
US Indexes
UHFRPPHQGDWLRQV6LJQ8SWRVHH
ZKDW\RXUIULHQGVUHFRPPHQG
Market Movers
Index
Last
Dow
12,078.98
-74.70
-0.61%
Nasdaq
2,657.22
-21.53
-0.80%
S&P 500
1,251.78
-12.07
-0.96%
2.04
-0.01
-0.63%
Treasuries
Change
% Change
Data as of 11:32pm
symbol
Insurance Credit
CDs
Cards
Latest Change
Las
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30 yr fixed
4.05%
4.0
15 yr fixed
3.40%
3.3
5/1 ARM
2.96%
3.0
30 yr refi
4.14%
4.1
15 yr refi
3.51%
3.4
14-Nov-2011 11:34 PM
2 of 4
http://money.cnn.com/2011/11/14/markets/oil_prices/index.htm?hpt=hp_t2
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14-Nov-2011 11:34 PM
3 of 4
http://money.cnn.com/2011/11/14/markets/oil_prices/index.htm?hpt=hp_t2
"The WTI certainly has a lot more room to go higher than the
Brent does, " Beutel said.
To add to all this, recent concerns that hostilities may break out
between Israel and Iran and disrupt Middle Eastern oil
production are also driving up prices globally, said Jim
Ritterbusch, president of oil trading advisory firm Ritterbusch
and Associates.
Saudi oil production cut looms
But the biggest question for oil prices still remains one of
demand, especially in light of the ongoing European debt
crisis, which could still spiral out of control.
Production gains in the North Sea and Libya, along with a
revival of the Iraqi oil industry will mean little if the
European crisis drags the global economy with it.
"It will all hinge on the eurozone," Ritterbusch said. "If you
could tell me where the euro currency is going to be a month
or two down the road, I could tell you where oil prices will be."
First Published: November 14, 2011: 2:53 PM ET
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14-Nov-2011 11:34 PM
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The Hindu : Business / Markets : Oil near $102 after 36 percent rally in 6...
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Business Markets
Oil near $102 after 36 percent rally in 6 weeks
$3
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The Hindu : Business / Markets : Sensex rallies 472 points on global cues;...
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Business Markets
Sensex rallies 472 points on global cues; regains 16,000 level
37,
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Today's Markets
The Dow Jones Industrial Average soared 291 points, or 2.6%, to
11,523, the S&P 500 jumped 33.9 points, or 2.9%, to 1,193 and the
Nasdaq Composite rallied 85.8 points, or 3.5%, to 2,527.
After falling close to 1000 points, or 8%, over the past two weeks, the
blue chips have rallied on the day. The Nasdaq had an even better
performance, its best on a percentage basis since August.
Energy and basic material shares posted some of the biggest gains. In
fact, aluminum giant Alcoa (AA: 9.46, +0.51, +5.70%) was one of the
best-performing Dow components.
In a sign of the breadth of the rally, more than 95% of volume on the
New York Stock Exchange was in advancing shares. Volatility,
meanwhile, tumbled 6.8%. Yields on U.S. Treasuries climbed as
traders raced back into equity markets. The benchmark 10-year note
yields 2.059% from 1.967%.
BofA-Merrill Lynch:
Euro Breakup Could
Happen
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A large swath of retailers posted big gains. Electronics giant Best Buy
(BBY: 26.49, +0.86, +3.36%) and department store Macy's (M: 30.84,
+1.39, +4.72%) were among the big retailers to perform the strongest.
Analysts are also expecting strong results on so-called Cyber Monday,
in which online retailers generally offer their steepest discounts. Indeed,
Amazon.com (AMZN: 194.15, +11.75, +6.44%) the biggest online
retailer, was up sharply as well.
Market participants were also keeping close tabs on the situation in
Europe, where leaders are racing to stem the region's worsening debt
crisis. Euro zone leaders, led by Germany and France, are working on
a plan to force tighter fiscal integration in the 17-member currency bloc
that could be passed by December and implemented early next year,
according to a report by the Wall Street Journal.
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Officials believe the plan would potentially be able to skirt a timeconsuming change to the European Union treaty, and could pressure
the European Central Bank to make a much stronger intervention into
the bond market, the report said. Several countries, such as Italy and
Spain, have seen their bond yields, and therefore borrowing costs, soar,
raising the specter that they may require international assistance if
action isn't taken to keep the yields in check.
29.16
+0.68
http://www.foxbusiness.com/markets/2011/11/28/comeback-rally-stocks-zoom-... 28-Nov-2011
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In Asia, the Japanese Nikkei 225 rose 1.6% to 8,287 and the Chinese
Hang Seng gained 2% to 18,038.
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37,
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Wall Street rocketed higher in the final trading session of what has been a tumultuous month as traders cheered a
coordinated action by central banks to buttress money markets and a bounty of bullish economic data.
15 Largest Point Gains in DJIA History
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Wall Street rocketed higher in the final trading session of what has been
a tumultuous month as traders cheered a coordinated action by central
banks to buttress money markets and a bounty of bullish economic
data, pushing the Dow and S&P 500 above psychologically-important
levels.
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Comments (7)
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Stocks have made an abrupt shift into rally mode this week, following a
steep multi-week selloff. Indeed, the Dow is now above the 12,000
mark, while the S&P 500 surpassed the 1,200 level.
The Dow's performance on Wednesday was the seventh best since the
blue-chip index was created in 1896 on a point basis, and the best on a
percent basis since 2009. The rest of the month was choppy, but this
week's rally helped offset much of the earlier loss. For the month, the
Dow rose 0.7%, the S&P 500 slipped 0.5% and the Nasdaq stumbled
2.4%.
On the day, every major sector was in the green, but energy, basic
materials and financial firms saw the most buying. Additionally, roughly
98 of every 100 stocks on the broad S&P 500 ended the in the green
along with every blue chip. More than 97% of volume on the New York
Stock Exchange was in advancing shares, and volatility plunged 9.3%.
Out of the blue chips, Caterpillar (CAT: 97.88, +7.34, +8.11%), the
world's biggest heavy equipment maker, and JPMorgan Chase (JPM:
30.97, +2.41, +8.44%) were the top performers, closely followed by
Alcoa (AA: 10.02, +0.71, +7.63%) and Bank of America (BAC: 5.44,
+0.37, +7.30%). Wal-Mart (WMT: 58.90, +0.73, +1.25%) and Home
Depot (HD: 39.22, +0.26, +0.67%) lagged behind with the shallowest
gains.
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+2.41
Conversely, Home Depot (HD: 39.22, +0.26, +0.67%) was the best
performing Dow component for the month, soaring 10%, while Bank of
America (BAC: 5.44, +0.37, +7.30%) posted the worst performance,
plunging 20%.
http://www.foxbusiness.com/markets/2011/11/30/buying-frenzy-central-bank-m... 30-Nov-2011
Page 2 of 4
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U.S. Treasury yields spiked as traders rushed out of the safe haven and
into equity markets. The benchmark 10-year note yields 2.08% from
1.984%.
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15 Largest Point Gains in
DJIA History
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Action
While news from Europe has ruled the day in many prior sessions,
central bank actions are shaking up world markets. The Federal
Reserve, European Central Bank and four other central banks unveiled
a coordinated action to provide liquidity to "ease strains in financial
markets."
"The purpose of these actions is to ease strains in financial markets and
thereby mitigate the effects of such strains on the supply of credit to
households and businesses and so help foster economic activity," the
Fed said in a statement.
Essentially, the Fed reducing the cost of providing dollar funding to the
other banks in exchange for their respective currencies to "improve
liquidity conditions in global money markets," according to the Fed's
website. The swaps are temporary, generally ranging from overnight to
three months, and there is a binding agreement to reverse the
transaction at a later point, according to the website.
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The other banks involved were The Bank of Canada, the Bank of
England, the Bank of Japan, and the Swiss National Bank. The move
comes on the heels of the Chinese central bank's cutting of the required
reserve ratio on the largest lenders to ease credit conditions there. The
world's second-biggest economy grew at an annualized pace of 9.1% in
the third quarter of this year -- the slowest rate since the second quarter
of 2009, raising worries that it may be slowing down.
"The coordinated action by the global Central banks is welcome news,"
Fred Dickson, chief investment strategist at Davidson Companies, wrote
in an e-mail. "However, we do not see this as the terminal big bang
event that marks the end of the current eurozone financial crisis.
The euro spiked on the news of the central banks' actions, recently
jumping 0.9% to $1.344.
Energy markets were in the green as well. The benchmark crude oil
contract traded in New York climbed 57 cents, or 0.57%, to $100.36 a
barrel. It was a strong month for crude oil, which soared 7.7% and
ended in the green for the second-straight month.
Wholesale RBOB gasoline gained 3 cents, or 1.1%, to $2.57 a
gallon. Gas edged lower by 0.7% on the month.
Flurry of Upbeat Economic Data
A report by payroll firm ADP showed the private sector added 206,000
jobs in November, blowing past forecasts of a 130,000 increase. The
September number was also revised higher to 116,000 from 91,000.
The labor market has been slowly recovering since the unemployment
rate hit 10.1% in October 2009. Small businesses have shown
particularly robust job growth, the data have shown in recent months.
The number of planned layoffs fell 0.7% to 42,474 in November from the
month prior, according to outplacement firm Challenger, Gray &
Christmas. The number of planned job cuts were down 13% from last
year, and were driven by the public sector.
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The Dow surged more than 490 points Wednesday as traders reacted
to a move by global central banks to ease strained money markets, and
a slew of strong economic data. Wednesday's buying frenzy marked the
7th-largest point gain in Dow history. Here are the top 15.
Print
Email
Share
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Like
Trade Date
10-13-2008
10-28-2008
11-13-2008
03-16-2000
03-23-2009
11-21-2008
11-30-2011
07-24-2002
09-30-2008
07-29-2002
08-09-2011
08-11-2011
03-18-2008
03-11-2008
10-20-2008
Close
9,387.61
9,065.12
8,835.25
10,630.61
7,775.86
8,046.42
12,048.68
8,191.29
10,850.66
8,711.88
11,239.77
11,143.31
12,392.66
12,156.81
9,265.43
Net Change
936.42
889.35
552.60
499.19
497.48
494.14
490.05
488.95
485.21
447.48
429.92
423.37
420.40
416.66
413.21
Percentage Change
11.08%
10.88%
6.67%
4.93%
6.84%
6.54%
4.24%
6.35%
4.68%
5.41%
3.98%
3.95%
3.51%
3.55%
4.67%
Abracadabra!
Bankrupt Cities are
Suddenly UnBankrupt! (Or Not)
(Daily Finance)
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http://www.thehindu.com/business/markets/article2677777.ece
Business Markets
Sensex ends 360 points up
37,
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01-Dec-2011 11:06 AM
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Business Markets
Sensex up 363 points on hopes of easing Eurozone debt crisis
37,
PTI A broker reacts as the Sensex surges, at the BSE building in Mumbai. File photo
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02-Dec-2011 8:18 AM
Stock market closes out its best week since 2009 - Yahoo! News
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02-Dec-2011 8:31 PM
Stock market closes out its best week since 2009 - Yahoo! News
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What do you think?
Is Cyber Monday a good business model?
Many smaller sales areOne
better
isanely huge sale rocks!
75%
17,631 people have answered 25%
this question.
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02-Dec-2011 8:31 PM
Wall Street Rockets Higher in Best Week Since '09 | Fox Business
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provided by Zacks. Mutual fund data provided by Lipper. Economic data provided by Econoday. Dow
Jones & Company Terms & Conditions.
This material may not be published, broadcast, rewritten, or redistributed. 2011 FOX News Network, LLC. All rights reserv
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The (Reality) Check's
in the Mail for Postal
Service as Doomsday
Approaches (Daily
Finance)
Today's Markets
The Dow Jones Industrial Average rose 78.4 points, or 0.65%, to
12,098, the S&P 500 gained 12.8 points, or 1%, to 1,257 and the
Nasdaq Composite jumped 28.4 points, or 1.1%, to 2,656.
Financial shares performed the best on the day, with big banks such as
JPMorgan Chase (JPM: 33.51, +1.18, +3.65%) and large investment
banks like Morgan Stanley (MS: 16.57, +1.05, +6.77%) zooming
higher. Energy and material shares, such as Schlumberger (SLB:
77.15, +2.14, +2.85%) and Freeport McMoran Copper & Gold (FCX:
40.23, +0.93, +2.37%), posted solid gains a swell.
Show More
In contrast, healthcare shares like Johnson & Johnson (JNJ: 63.36, 0.11, -0.17%) and consumer staples like Kraft Foods (KFT: 36.51,
+0.01, +0.03%) and Wal-Mart (WMT: 58.34, +0.25, +0.43%) struggled.
After trading lower for most of the day, bond prices made a comeback,
pushing yields lower. The benchmark 10-year note yields 2.035% from
2.037%.
http://www.foxbusiness.com/markets/2011/12/05/rally-fizzles-amid-reports-sp-...
05-Dec-2011
Page 2 of 4
With the docket of U.S. economic data fairly shallow on Monday, traders
paid close attention to news from Europe, where leaders are racing to
save the euro.
Print
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S&P plans on putting all 17 members of the euro zone currency bloc on
"creditwatch negative," according to media reports citing unnamed
sources. That would imply there is a 50/50 chance the ratings company
will downgrade the countries' sovereign debt rating in the next 90 days.
Included in the list are countries that presently hold a top-notch rating,
including Germany and France.
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The move may come shortly after the closing bell on Monday, the
reports said. An S&P spokesman told FOX Business the company has
no comment on the matter.
The report spooked market participants to some extent, pulling Wall
Street well off of its highs of the session. Indeed, the Dow, which had
been up as much as 167 points, closed only 78 points to the upside.
36.51
+0.01
77.15
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63.36
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Investors are expecting European leaders to "come out with big guns
blazing," Louise Cooper, a market analyst with BGC Partners, said in an
interview with FOX Business, adding that they expect a "big"
announcement following summit.
The hope is that if European officials create a system to make sure
countries are keeping their debt inline, it will give the European Central
Bank the ammunition it needs to launch a large bond-buying program to
ease yields on embattled euro-zone sovereign debt.
The European Central Bank is the only institution that has the power to
create euros, and is widely seen as a crucial player in tackling the crisis.
The problem is the ECB doesn't want to increase the likelihood of
repeating the crisis by bailing the system out without consequences for
highly-indebted countries.
To that end, Italy's new government unveiled a roughly $40 billion
austerity program on Monday that includes spending cuts, tax increases
and reforms to the country's costly pension system. Italy is Europe's
third-biggest economy, and has an enormous public debt burden. The
specter that it may need a rescue like other heavily-indebted countries
spooked the markets several weeks ago, and forced the ouster of its old
government.
The country's 10-year bonds yield 6.39% presently, or trade at a 4.21
percentage-point premium to Europe's safe-haven German bund. That
represents a considerable easing from just a week ago when yields
topped the closely-watched 7% mark.
European blue chips jumped 1.2%, while the euro fell 0.26% to $1.3449,
turning around on the reports regarding euro zone debt ratings.
The markets posted a blockbuster performance last week: the broad
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05-Dec-2011
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S&P 500 surged 7.4%, while the blue chips tacked on some 788 points.
On the U.S. front, data released on Monday showed factory orders fell
by 0.4% in October from the month prior, slightly more than the 0.3% fall
economists' anticipated. Excluding the transportation component, orders
were up 0.2% on the month.
Meanwhile, a separate report showed the services sector expanded at a
slower pace than expected last month. The Institute for Supply
Management's gauge of the non-manufacturing sector fell slightly to 52
from 52.9 the month prior. Economists has forecast a reading of 53.5.
Readings above the 50 mark point to expansion, while those below
indicate contraction.
Energy markets were mixed. The benchmark crude oil contract traded
in New York gained 12 cents, or 0.14%, to $100.83 a barrel. Wholesale
RBOB gasoline fell 0.1% to $2.61 a gallon.
Foreign Markets
European blue chips jumped 1.2%, the English FTSE 100 gained 0.28%
to 5,568 and the German DAX rose 0.68% to 6,106.
In Asia, the Japanese Nikkei 225 rose 0.6% to 8,696 and the Chinese
Hang Seng gained 0.73% to 19,180.
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General Mills (GIS: 39.27, -0.32, -0.81%) posted adjusted secondquarter earnings of 76 cents a share, topping expectations of 79 cents.
Revenue was up 14% to $4.62 billion.
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By Ben Rooney @CNNMoneyMarkets
December 20, 2011: 4:38 PM ET
178 comments
Markets
US Indexes
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Market Movers
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337.32
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Nasdaq
2,603.73
80.59
3.19%
S&P 500
1,241.30
35.95
2.98%
1.92
0.11
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Treasuries
Change
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Data as of 6:17pm
symbol
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20-Dec-2011 6:18 PM
2 of 4
http://money.cnn.com/2011/12/20/markets/markets_newyork/index.htm?i...
Hot List
Dumbest moments in
business
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Business Markets
Sensex surges by 255 points on firm global cues
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"Despite the downward revision ... recent U.S. data indicate that fourth
quarter growth has accelerated," Nariman Behravesh, chief economist
at IHS Global Insight wrote in a reserch note. "However, the stronger
growth momentum is unlikely to be sustained through the first half of
next year."
In the foreign exchange market, the euro ticked 0.03% higher to $1.305,
while the greenback fell 0.02% against a basket of six trading partners.
Commodities markets got a modest boost from the weaker U.S. dollar.
The benchmark New York crude oil contract rose 87 cents, or 0.87%, to
$99.53 a barrel. Wholesale RBOB gasoline climbed 0.76% to $2.6398 a
gallon.
Gold dipped $3.00, or 0.19%, to $1,611 a troy ounce.
Foreign Markets
European blue chips jumped 1.3%, the English FTSE 100 rallied 1.3%
to 5,457 and the German DAX gained 1.1% to 5,852.
In Asia, the Japanese Nikkei 225 fell 0.77% to 8,395 and the Chinese
Hang Seng dropped 0.21% to 5,867.
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The move was important because many American families would have
immediately seen their after-tax incomes shrink if not for the passage,
which could have slowed already anemic economic growth, analysts
have said.
There was also a slew of economic reports on Friday morning. Orders
for long-lasting goods jumped 3.8% in November from the month prior,
zipping past estimates of a gain of 2%. The major driver of the gain was
a 73.3% surge in civilian aircraft orders, analysts said. Indeed, excluding
the transportation component, orders were up 0.3%, slightly shy of the
0.5% gain that was anticipated.
Meanwhile, consumer spending ticked up 0.1% in November, less than
the 0.3% economists' had been expecting. Personal income edged
0.1% higher, also missing estimates of a gain of 0.2%.
New sales of single-family homes increased 1.6% to an annualized
315,000-unit rate in November compared to a 1.3% rise in October. The
median sale price dropped 2.5% to $214,100 from the same month in
2010. The market for new homes has been sluggish as the supply of
houses on the market has remained high and credit conditions have
remained tight.
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The Hindu : Business / Markets : Sensex nears 16k-level with 232-point re...
1 of 1
http://www.thehindu.com/business/markets/article2749902.ece
Business Markets
Sensex nears 16k-level with 232-point relief rally
37,
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Foreign Markets
European blue chips rose 1.7%, the English FTSE 100 climbed 1.1% to
5,567 and the German DAX gained 1.3% to 5,849.
In Asia, the Japanese Nikkei 225 fell 0.29% to 8,399 and the Chinese
Hang Seng dipped 0.65% to 18,398.
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The Hindu : Business / Markets : Sensex opens New Year with 63 points ...
1 of 2
http://www.thehindu.com/business/markets/article2768722.ece
Business Markets
Sensex opens New Year with 63 points gain in thin trade
37,
PTI Sensex moved between a gain of 96.90 points and a loss of 87.03 points during the session.
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The Hindu : Business / Markets : Sensex opens New Year with 63 points ...
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02-Jan-2012 10:03 AM
The Hindu : Business / Markets : Sensex surges 421 points on fund inflows... http://www.thehindu.com/business/markets/article2771768.ece?homepage...
1 of 2
Business Markets
Sensex surges 421 points on fund inflows, firm global trend
37,
Indian markets have commenced the New Year on a positive note amid the governments decision to allow foreign individuals
invest in stocks, Photo: PTI
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U.S.
Europe Asia
DJIA 12,451.04
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500
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Reuters Will Have to Leave
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TONIGHT: FBN's Neil Cavuto Hosts Special Coverage of to leave the eurozone if
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Energy futures were strongly to the upside, getting a boost from worries
that mounting tension between the United States and Iran may
ultimately lead to a supply shock and hopes that strong economic data
may boost demand.
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The benchmark crude oil contract traded in New York jumped $4.13, or
4.2%, to $102.96 a barrel. Wholesale RBOB gasoline gained 9 cents, or
3.4%, to $2.749 a barrel.
In metals, gold jumped $33.70, or 2.2%, to $1,601 a troy ounce. Silver
was up $1.66, or 5.6%, to $29.53 a troy ounce.
Corporate News
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In Asia, the Japanese Nikkei 225 rose 0.67% to 8,455 and the Chinese
Hang Seng soared 2.4% to 18,877.
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Dow Climbs to Highest Level Since July; BofA Soars | Fox Business
Alcoa (AA: 9.44, +0.02, +0.16%), also a blue chip, kicked off earnings
season after the closing bell on Monday. The aluminum giant posted a
quarterly loss of 3 cents per share, which came in-line with analysts'
expectations, but its revenue of $6 billion topped forecasts of $5.7
billion. The company also said it expects demand for aluminum to
increase by 7% this year.
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The euro climbed 0.08% to $1.2776, while European blue chips soared
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currencies.
In Asia, the Japanese Nikkei 225 climbed 0.38% to 8,422 and the
Chinese Hang Seng gained 1.1% to 4,152.
http://www.foxbusiness.com/markets/2012/01/10/dow-climbs-to-highest-level-s... 10-Jan-2012
Dow Climbs to Highest Level Since July; BofA Soars | Fox Business
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MARKET SNAPSHOT
U.S.
Europe
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1 day
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Card Hub's Plastic Hall
of Fame: The Best
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(Daily Finance)
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REUTERS
Today's Markets
The Dow Jones Industrial Average gained 21.6 points, or 0.17%, to
12471, the S&P 500 rose 3 points, or 0.23%, to 1296 and the Nasdaq
Composite rose 13.9 points, or 0.51%, to 2725.
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developments on Thursday.
Easing European Debt Pressure
Page 2 of 5
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Spain sold double its target of paper maturing in 2015 and 2016 at an
auction as investors began moving back into the weakened debt. The
yield on the 2015 bonds fell to 3.384% from 5.187% at a similar auction
in December. Italy also sold one-year bills at half the yield from an
offering last month ahead of a more closely-watched auction of longerterm debt on Friday.
After the auction, Italy's borrowing costs on private markets dropped as
well, falling to 6.72%, beneath the 7% mark it had been trading at earlier
in the week.
Borrowing costs have been closely eyed by market participants as
worries have mounted major that European countries, like Italy and
Spain, will have difficulty refinancing their debt this year. In the past,
smaller countries have gotten locked out of private borrowing markets,
necessitating bailouts.
The European Central Bank held its main refinancing rate at 1%
following two straight months of cuts. The ECB has been working to
keep the European economy afloat while also keeping inflation in check.
The Bank of England also said it will keep its benchmark interest rate at
0.5% and left its asset-buying program unchanged. Both moves were
widely anticipated by market participants.
The euro rose 0.89% to $1.2819, while the U.S. dollar fell 0.52% against
a basket of six world currencies.
Disappointing U.S. Economic Data
On the U.S. front, retail sales rose at a pace of 0.1% in December from
the month prior, weaker than the 0.3% gain economists forecast. The
weakest parts of the report were non-store retailers, electronics stores
and general merchandise stores, which were somewhat offset by
substantial gains in auto and building material sales.
New claims for unemployment benefits rose to 399,000 last week from
an upwardly revised 375,000 the week prior. Economists were
expecting a smaller rise to 375,000 from an initially reported 372,000.
Last week, the monthly employment report showed the unemployment
rate falling to 8.5% as the economy added 200,000 jobs in December as
the labor market has slowly improved following steep job losses during
the recession.
Having traded in positive territory for much of the session, energy
futures made a late-day turn into negative territory. The benchmark
crude oil contract traded in New York slumped $1.77, or 1.8%, to $99.10
a barrel. Wholesale RBOB gasoline slid 1.2% to $2.731 a gallon.
In metals, gold climbed $8.10, or 0.49%, to $1,647 a troy ounce.
Corporate News
Sears Holdings (SHLD: 34.00, +1.10, +3.34%) shares plummeted after
The Wall Street Journal reported CIT Group will not finance loans to
supplies awaiting payments from the retailer.
Target (TGT: 49.81, +0.78, +1.59%) unveiled a new $5 billion share
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http://www.foxbusiness.com/markets/2012/01/12/industrial-material-shares-lift-... 12-Jan-2012
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Business Markets
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The Hindu : Business / Markets : Sensex up 277 points on FII inflows, firm...
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Business Markets
Sensex up 277 points on FII inflows, firm global markets
37,
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Energy and healthcare stocks performed the best on the day. Indeed,
Merck (MRK: 38.82, +0.50, +1.30%), the pharmaceutical giant, was a
top Dow component. Pioneer Natural Resources (PXD: 99.15, +1.52,
+1.56%), an oil and gasoline exploration company, was among the bestperforming S&P 500 components.
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NEW YORK (CNNMoney) -- U.S. stocks started the week higher Tuesday,
as investors welcomed several signs of improving global economic growth.
The Dow Jones industrial average ( INDU) closed up 60 points, or 0.5%,
the S&P 500 ( SPX) rose 5 points, or 0.4%, and the Nasdaq composite
( COMP) increased 17 points, or 0.6%.
The day's gains followed a trifecta of
positive economic data.
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Markets
US Indexes
Index
Market Movers
Last
Change
% Change
12,482.07
60.01
0.48%
Nasdaq
2,728.08
17.41
0.64%
S&P 500
1,293.67
4.58
0.36%
1.85
-0.00
-0.16%
Dow
Treasuries
Data as of 9:22pm ET
symbol
http://money.cnn.com/2012/01/17/markets/markets_newyork/index.htm?sourc...
17-Jan-2012
Page 2 of 3
Home
Equity Loan
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Shares of Sears ( SHLD, Fortune 500) soared 9.5% amid ongoing chatter
that the troubled retailer may go private. Despite the day's spike, Sears'
stock remains near its 52-week low, hit earlier this month.
Goldman Sachs ( GS, Fortune 500) reports its results before the market
opens Wednesday, while Bank of America ( BAC, Fortune 500) and
Morgan Stanley ( MS, Fortune 500) are scheduled to release their reports
ahead of the opening bell Thursday.
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Market indexes are shown in real time, except for the DJIA, which is delayed by two minutes. All times are ET. DisclaimerLIBOR Warning: Neither BBA Enterprises Limited, nor the BBA LIBOR Contributor
Banks, nor Reuters, can be held liable for any irregularity or inaccuracy of BBA LIBOR. Disclaimer. Morningstar: 2012 Morningstar, Inc. All Rights Reserved. Disclaimer The Dow Jones IndexesSM are
proprietary to and distributed by Dow Jones & Company, Inc. and have been licensed for use. All content of the Dow Jones IndexesSM 2012 is proprietary to Dow Jones & Company, Inc. Chicago
Mercantile Association. The market data is the property of Chicago Mercantile Exchange Inc. and its licensors. All rights reserved. FactSet Research Systems Inc. 2012. All rights reserved. Most stock
quote data provided by BATS.
2012 Cable News Network. A Time Warner Company. All Rights Reserved. Terms under which this service is provided to you. Privacy Policy. Ad choices
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17-Jan-2012
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European shares and the euro got a boost on Wednesday on
talk the IMF may do more to help resolve the European debt
crisis but worries over the outcome of crucial Greek debt
restructuring negotiations limited any gains.
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A strong weekly jobs report, solid debt auctions in Europe and betterthan-expected quarterly results from two financial giants unleashed the
bulls on Wall Street for the third day in a row.
Today's Markets
The Dow Jones Industrial Average rose 45 points, or 0.36%, to 12624,
the S&P 500 rose 6.5 points, or 0.49%, to 1315 and the Nasdaq
Composite climbed 18.6 points, or 0.67%, to 2788.
The markets have been on a roll so far this year. The blue chips have
added more than 400 points so far in 2012 and are presently sitting at
their highest level since July.
Roughly a quarter of the gains on a point basis come from Caterpillar
(CAT: 105.75, +1.49, +1.43%), one of the world's biggest heavymachinery makers, according to an analysis by FOX Business. 3M
(MMM: 85.80, +0.73, +0.86%), United Technologies (UTX: 77.19, 0.41, -0.53%) and American Express (AMX: 23.70, +0.63, +2.73%) are
responsible for another quarter, the analysis showed.
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France also had a strong debt auction as traders shrugged off Standard
& Poor's downgrade of the country one notch from triple-A last week.
The euro rose by 0.44% to $1.292, its third-straight day of gains.
Meanwhile, the U.S. dollar was off 0.31% against a basket of world
currencies.
Commodities were to the downside. Natural gas futures plunged 6.1%
to $2.322 per million British Thermal Units, the lowest settle in a
decade.
The benchmark crude oil contract traded in New York fell 20 cents, or
0.2%, to $100.39 a barrel. Wholesale RBOB gasoline dipped 0.34% to
$2.816 a gallon.
In metals, gold was down $5.40, or 0.33%, to $1,654 a troy ounce.
Foreign Markets
European blue chips rallied 1.9%, the English FTSE 100 rose 0.68% to
5,741 and the German DAX climbed 0.97% to 6,416.
In Asia, the Japanese Nikkei 225 gained 1% to 8,640 and the Chinese
Hang Seng jumped 1.3% to 19,943.
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The Dow zipped higher as several technology blue chips rallied, while
the broader S&P 500 edged higher. Both stock-market averages closed
out the week on a four-day winning streak.
Today's Markets
The Dow Jones Industrial Average rose 96.5 points, or 0.76%, to 12720,
the S&P 500 gained 0.88 point, or 0.07%, to 1315 and the Nasdaq
Composite fell 1.6 points, or 0.06%, to 2787.
For the week, the Nasdaq jumped 2.8%, the Dow climbed 2.4%, and the
S&P 500 climbed 2%. Gains have been strong so far for the year as
well, with the Dow and S&P climbing more than 4% and the Nasdaq
zooming close to 7% to the upside.
Intel (INTC: 26.38, +0.75, +2.93%), IBM (IBM: 188.52, +8.00, +4.43%)
and Microsoft (MSFT: 29.71, +1.59, +5.65%) all topped profit
expectations when they posted their results after the closing bell on
Thursday, sending their shares sharply higher on the day. HewlettPackard (HPQ: 28.13, +0.98, +3.61%) got a powerful tailwind from its
fellow titans in the technology realm.
Indeed, the four technology giants combined were responsible for nearly
87 points of the Dow's upswing, with IBM adding 60 points in its own.
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In Asia, the Japanese Nikkei 225 rallied 1.5% to 8,766 and the Chinese
Hang Seng climbed 0.84% to 20,110.
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http://www.thehindu.com/business/markets/article2828584.ece
Business Markets
Sensex touches 17,000 level
37,
The Hindu The 30-scrip Sensex crossed the crucial 17,000 mark before ending 244.04 points, or 1.46 per cent, up at 16,995.7
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24-Jan-2012 8:38 AM
The Hindu : Business / Markets : Sensex closes above 17k-level after 10...
1 of 1
http://www.thehindu.com/business/markets/article2831439.ece
Business Markets
Sensex closes above 17k-level after 10 weeks
37,
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http://www.thehindu.com/business/markets/article2830847.ece
Business Markets
Sensex up 82 points in early trade
37,
PTI Brokers said sustained buying by retailers amid firming trend on the other Asian bourses mainly influenced the trading
sentiment.
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NEW YORK (CNNMoney) -- U.S. stocks shaved early losses and ended
higher Wednesday afternoon after the Federal Reserve said it plans to keep
interest rates near historic lows through late 2014.
The Fed, which issued a statement at the end of a two-day policy meeting
midday Wednesday, had previously said it would hold rates low through mid2013.
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Markets
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12,756.96
81.21
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Nasdaq
2,818.31
31.67
1.14%
S&P 500
1,326.06
11.41
0.87%
2.01
-0.06
-2.76%
Dow
Treasuries
Data as of 5:45pm ET
symbol
In addition to keeping low rates, Fed chief Ben Bernanke also left the door
wide open to additional stimulative policies, including a third round of bond
purchases, a policy known as quantitative easing, or QE3.
During a press conference following the statement, Bernanke said
"expanding the balance sheet certainly remains an option" for the Fed, and
the central bank would consider it "very seriously if, in particular, progress
Home
Equity Loan
Insurance
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Change
CDs
Latest
30 yr fixed
3.92%
Last Week
3.91%
15 yr fixed
3.24%
3.24%
5/1 ARM
2.89%
2.87%
30 yr refi
http://money.cnn.com/2012/01/25/markets/markets_newyork/index.htm?iid=H...
25-Jan-2012
Page 2 of 4
15 yr refi
3.99%
3.97%
3.33%
3.34%
Hot List
Late Tuesday, the iPhone and iPad maker reported a whopping quarterly
profit of $13 billion -- the best quarter ever for a technology company. The
company said sales for the quarter hit $46.3 billion, sending shares shooting
up 6.2% Wednesday. The gains helped Apple surpass Exxon Mobil
( XOM, Fortune 500) as the most valuable U.S. company.
Meanwhile, investors are also watching Greece's ongoing negotiations
with representatives of private-sector creditors to reduce its debt burden.
Officials are set to resume informal talks Thursday in Athens.
Greece is in desperate need of an agreement to receive additional bailout
funds from the European Union and International Monetary Fund. Without
these funds, the country may not be able to make a 14 billion debt payment
that's due March 20.
U.S. stocks ended mostly in the red Tuesday, as investors waded through
corporate results and awaited progress out of Greece.
World markets: European ended the day mixed. Britain's FTSE 100
( UKX) lost 0.5%, the DAX ( DAX) in Germany gained slightly, and
France's CAC 40 ( CAC40) fell 0.3%.
U.S. inches closer to 'Europe moment'
The UK government reported a 0.2% decline in fourth-quarter gross
domestic product, the broadest measure of economic activity, due to
weakness in the production and construction sectors.
Meanwhile, Germany's Ifo index, a widely watched gauge of business
confidence, rose in January, indicating that the German economy may be
gathering steam. The positive report follows an auction of 30-year German
bonds that drew strong demand.
Apple is number 1!
Apple's stock surges on blowout
quarterly results, giving the iPhone
maker a market capitalization of $418
billion, compared with the oil giant's
$416 billion. More
The Fed also released forward-looking forecasts for the federal funds rate
for the first time ever on Wednesday, in addition to its outlook on the
economy and labor market.
Fed forecasting breaks new ground
The central bank said it expects the unemployment rate to fall to between
8.2% and 8.5% in 2012, an improvement over what it had predicted back in
November.
But the Fed is also predicting the economy will grow between 2.2% and
2.7% this year, slightly slower than it had previously thought.
For that reason, most of the policymakers at the Fed think the federal funds
rate should remain near zero for the foreseeable future.
Pending home sales for the month of December dropped by 3.5%, after
rising 7.3% in the prior month. Economists were expecting sales to fall 3%.
Companies: Shares of Boeing ( BA, Fortune 500) turned higher, as the
airplane maker reported a jump in fourth-quarter profit and revenue. Earlier
shares were down, as the company also issued a disappointing full-year
earnings guidance.
Delta ( DAL, Fortune 500) reported fourth-quarter earnings that widely
beat expectations, sending shares of the airline higher.
http://money.cnn.com/2012/01/25/markets/markets_newyork/index.htm?iid=H...
25-Jan-2012
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Market indexes are shown in real time, except for the DJIA, which is delayed by two minutes. All times are ET. DisclaimerLIBOR Warning: Neither BBA Enterprises Limited, nor the BBA LIBOR Contributor
Banks, nor Reuters, can be held liable for any irregularity or inaccuracy of BBA LIBOR. Disclaimer. Morningstar: 2012 Morningstar, Inc. All Rights Reserved. Disclaimer The Dow Jones IndexesSM are
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25-Jan-2012
The Hindu : Business / Markets : Sensex gains 176 points in early trade
1 of 1
http://www.thehindu.com/business/markets/article2836404.ece
Business Markets
Sensex gains 176 points in early trade
37,
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The Hindu : Business / Markets : Sensex gains 330 points on buying in blu...
1 of 2
http://www.thehindu.com/business/markets/article2847671.ece
Business Markets
Sensex gains 330 points on buying in blue chips
37,
AP The Bombay Stock Exchange benchmark rose 330 points on Tuesday, regaining much of the lost ground of the previous
session. File photo
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NEW YORK (CNNMoney) -- U.S. stocks rose Wednesday, but closed off the
highs of the day, on a combination of improved economic data and easing
concerns about Europe's debt crisis.
The Dow Jones industrial average ( INDU) rose 83 points, or 0.6%, to end
at 12,716. The S&P 500 ( SPX) gained 12 points, or 0.9%, to 1,324. The
Nasdaq rose 34 points, or 1.2%, to 2,848.
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Markets
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Last
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12,716.46
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Data as of 9:21pm ET
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Last Week
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http://money.cnn.com/2012/02/01/markets/markets_newyork/index.htm?hpt=h... 01-Feb-2012
"As long as Europe doesn't implode, it seems like the market wants to go
higher," said David Rovelli, managing director of U.S. equity trading at
Canaccord Adams.
Europe: 4 things you need to know
Page 2 of 3
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Facebook files for $5 billion IPO
Facebook earned $1 billion on sales
of $3.7 billion in 2011, and has 845
million active users. More
http://money.cnn.com/2012/02/01/markets/markets_newyork/index.htm?hpt=h... 01-Feb-2012
Page 3 of 3
Two years after its bankruptcy and U.S. bailout, Chrysler Group posted
2011 net income of $183 million, its first annual profit since 2005.
World markets: European stocks closed higher. Britain's FTSE 100
( UKX) added 1.8%, the DAX ( DAX) in Germany gained 2.5% and
France's CAC 40 ( CAC40) rose 2%.
Asian markets ended most lower. The Shanghai Composite ( SHCOMP)
fell 1.1%, the Hang Seng ( HSI) in Hong Kong dropped 0.3% and Japan's
Nikkei ( N225) was flat.
Currencies and commodities: The dollar fell against the euro, the
Japanese yen and the British pound.
Oil for March delivery fell 87 cents to end at $97.61 a barrel.
Gold futures for April delivery rose $9.10 to close at $1,749.50 an ounce.
Bonds: The price on the benchmark 10-year U.S. Treasury fell, pushing the
yield up to 1.83% from 1.80% late Tuesday.
First Published: February 1, 2012: 9:40 AM ET
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Market indexes are shown in real time, except for the DJIA, which is delayed by two minutes. All times are ET. DisclaimerLIBOR Warning: Neither BBA Enterprises Limited, nor the BBA LIBOR Contributor
Banks, nor Reuters, can be held liable for any irregularity or inaccuracy of BBA LIBOR. Disclaimer. Morningstar: 2012 Morningstar, Inc. All Rights Reserved. Disclaimer The Dow Jones IndexesSM are
proprietary to and distributed by Dow Jones & Company, Inc. and have been licensed for use. All content of the Dow Jones IndexesSM 2012 is proprietary to Dow Jones & Company, Inc. Chicago
Mercantile Association. The market data is the property of Chicago Mercantile Exchange Inc. and its licensors. All rights reserved. FactSet Research Systems Inc. 2012. All rights reserved. Most stock
quote data provided by BATS.
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Hot Start to February: Strong Data Fling Wall Street Higher | Fox Business
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Wall Street tacked on solid gains on the first trading day of the month
after a round of solid economic reports from across the globe whetted
traders' appetite for risky assets.
Share
Today's Markets
The Dow Jones Industrial Average jumped 83.6 points, or 0.66%, to
12716, the S&P 500 rallied 11.7 points, or 0.89%, to 1324 and the
Nasdaq Composite rose 34.4 points, or 1.2%, to 2848.
RELATED STOCKS
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The rally was quite broad on the day. In fact, 33 companies listed on the
broad S&P 500 hit 52-week highs, according to data compiled by FOX
Business.
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Big financial names like Morgan Stanley (MS: 19.39, +0.74, +3.97%),
American International Group (AIG: 26.60, +1.49, +5.93%) and Bank
of America (BAC: 7.36, +0.23, +3.23%) posted some of the sharpest
gains. Industrials like United Technologies (UTX: 80.22, +1.87,
+2.39%) and Caterpillar (CAT: 110.52, +1.40, +1.28%) were strong
performers as well.
Economic data came squarely into focus.
+1.87
12.33
-0.09
24.37
+0.35
RELATED VIDEO
The private sector added 170,000 jobs last month, according to a report
from payroll-processing firm ADP. Economists had been expecting an
increase of 185,000. The December figures were revised down to
292,000 private sector jobs added from an initially reported 325,000.
Morning Business
Outlook: 2/1
Markets Awaiting
Facebook IPO Filing
http://www.foxbusiness.com/markets/2012/02/01/hot-start-to-february-strong-d... 01-Feb-2012
Hot Start to February: Strong Data Fling Wall Street Higher | Fox Business
European blue chips soared 2.2% and the euro gained 0.39%
to $1.3135. Meanwhile, the greenback fell 0.3% against a basket of six
world currencies tracked by the dollar index.
RELATED STORIES
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This material may not be published, broadcast, rewritten, or redistributed. 2012 FOX News Network, LLC. All rights reserved.
http://www.foxbusiness.com/markets/2012/02/01/hot-start-to-february-strong-d... 01-Feb-2012
The Hindu : Business / Markets : Sensex up 131 points led by IT, metal stocks
1 of 1
http://www.thehindu.com/business/markets/article2853817.ece
Business Markets
Sensex up 131 points led by IT, metal stocks
37,
The Bombay Stock Exchange benchmark Sensex was up 131 points on Thursday on sustained buying by funds. File photo
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02-Feb-2012 8:55 AM
The Hindu : Business / Markets : Sensex up 173 points; RIL gains 1.10 pc
1 of 2
http://www.thehindu.com/business/markets/article2857349.ece
Business Markets
Sensex up 173 points; RIL gains 1.10 pc
37,
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03-Feb-2012 6:26 PM
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DJIA
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A monthly employment report that zipped past traders' expectations and other
encouraging signs on the U.S. economy set off a broad buying frenzy that flung
the Nasdaq to its highest level since December 2000.
Market prognosticators
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whether stocks would
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most of them agreed
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The unemployment rate fell to 8.3%, the lowest rate since February
2009, from 8.5% the month prior. One potential caveat is that the socalled labor force participation rate, which looks at the proportion of the
total population in the labor force, fell 0.3-percentage points to 63.7%,
the lowest level since 1983, according to data compiled by FOX
Business.
The change was at least partially due to a revision in the methodology
the Labor Department uses in its calculations, but economists say it
does raise questions about potential workers falling completely out of
the jobs market.
"This is unquestionably a positive report in nearly every way," Dan
Greenhaus, chief global strategist at BTIG, wrote in an e-mail to
clients. Barclays Capital, which struck a similarly optimistic tone in a
research note published after the report was released still cautioned that
"January is a notoriously volatile month that is subject to relatively large
seasonal adjustments."
The labor market has been slowly recovering after being thrashed
during the financial crisis. The unemployment rate peaked in October
2009 at 10% and policymakers from across the board have said they
are frustrated with the rate of improvement. Indeed, speaking before a
the House Budget Committee on Thursday, Federal Reserve Chairman
Ben Bernanke described the central bank's dissatisfaction with the
progress. The Fed has pushed down hard on the economic accelerator,
knocking interest rates down to historic lows, unleashing two rounds of
enormous asset buying and taking other, more technical, measures.
"An easy argument could be made that monetary policy, which has
been extraordinarily accommodative, is beginning to show through in
the broad economic data," Greenhaus wrote.
In fact, fed fund futures, which are a gauge of public expectations of the
Fed's moves, show a 64% chance of a 0.5-percentage point hike in mid2014, up from a 46% chance before the data, according to Dow Jones
Newswires. The Fed has previously said it will hold rates at
extraordinarily low levels until 2014.
A report from the Institute for Supply Management showed the U.S.
services sector expanding at the swiftest pace since last February. The
ISM's non-manufacturing gauge hit 56.8 in January from 53 the month
prior, easily besting estimates for no change. A separate report from the
Commerce Department showed factory orders jumping 1.1% in
December, slightly slower than the 1.5% economists were calling for.
Manufacturing in Great Britain unexpectedly picked up steam in January
from December. The country's PMI gauge rose to 56 from 54, compared
to expectations of 53.5.
http://www.foxbusiness.com/markets/2012/02/03/drenched-in-green-data-cata... 03-Feb-2012
Page 3 of 4
The report "has buoyed hopes that the U.K. will skirt around another
recession," David Jones, chief market strategist at London-based IG
Index wrote in an e-mail. The European country, while not a member of
the euro currency bloc, has still been weighed down by the continent's
debt crisis.
The euro gained 0.15% to $1.3164, while the U.S. dollar fell 0.08%
against a basket of six world currencies tracked by the dollar index.
Commodities markets were mixed. The benchmark crude oil contract
traded in New York rose $1.54, or 1.5%, to $97.84 a barrel. Wholesale
RBOB gasoline jumped 1.6% to $2.914 a gallon.
In metals, gold fell $19.00, or 1.1%, to $1,740 a troy ounce.
Foreign Markets
European blue chips climbed 1.5%, the English FTSE 100 rose 1.8% to
5,901 and the German DAX gained 1.7% to 6,767.
In Asia, the Japanese Nikkei 225 slipped 0.51% to 8,832 and the
Chinese Hang Seng rose 0.08% to 20,757.
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"The jobs data blew away market expectations," noted Marc Chandler,
global head of currency strategy at Brown Brothers Harriman, calling it a
"monster" jobs report. "This coupled with other recent reports for January,
show the year has begun off on a firm note," he added.
Meanwhile, investors were also on the lookout for an official agreement on a
debt-reduction plan and a second bailout for Greece. The deal is expected
to be near, but negotiations are likely to continue thorough the weekend.
U.S. stocks ended mixed Thursday as investors digested a cautious
economic outlook from the chairman of the Federal Reserve.
Economy: Factory orders for December rose 1.1%, slightly below
expectations. The January installment of the ISM Services Index hit 56.8,
surpassing economists' expectations for 53.1, and up sharply from the prior
month.
Companies: Financial stocks were big gainers in Friday's rally, with Bank
of America's ( BAC, Fortune 500) 5% spike leading the Dow's gains.
Morgan Stanley ( MS, Fortune 500), Citigroup ( C, Fortune 500) and
Goldman Sachs ( GS, Fortune 500) were all up between 3% and 5%.
Shares of Genworth Financial ( GNW, Fortune 500) soared 14% after the
mortgage insurer swung to a fourth-quarter profit.
Tyson Foods ( TSN, Fortune 500) shares rose after the company
reported better-than-expected earnings and issued slightly upbeat guidance.
Estee Lauder ( EL, Fortune 500) reported a 15% profit increase for its
fiscal second quarter to $597 million, but its stock tumbled as the company's
guidance for the current quarter came in short of analyst expectations.
Shares of Gilead Sciences ( GILD, Fortune 500) spiked after the
company posted fourth-quarter earnings that rose almost 6% from a year
ago.
Page 2 of 3
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Obama battles job crisis: 3
years...and counting
Before Obama even took office,
America had lost 4.4 million jobs. It
would lose another 4.3 million before
jobs started trickling back. More
Bonds: The price on the benchmark 10-year U.S. Treasury fell, pushing the
yield up to 1.95% from 1.82% late Thursday.
World markets: European stocks ended sharply higher. Britain's FTSE
100 ( UKX) rose 1.8%, while the DAX ( DAX) in Germany jumped 1.7%
and France's CAC 40 ( CAC40) rose 1.5%.
Asian markets ended mixed. The Shanghai Composite ( SHCOMP) rose
0.8%, while the Hang Seng ( HSI) in Hong Kong was flat and Japan's
Nikkei ( N225) slipped 0.5%.
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03-Feb-2012
The Hindu : Business / Markets : Realty, capital goods stocks push Sensex... http://www.thehindu.com/business/markets/article2865767.ece?homepage...
1 of 1
Business Markets
Realty, capital goods stocks push Sensex up 102 points
37,
The Hindu The Bombay Stock Exchange benchmark, Sensex, which had gained over 741 points in the last four sessions, on
Monday rose another 102.35 points. File photo
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.H\ZRUGV6HQVH[ %6( 1LIW\ 16(
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0
06-Feb-2012 9:46 AM
The Hindu : Business / Markets : Sensex up 123 points in late buying amid ...
1 of 2
http://www.thehindu.com/business/markets/article2875407.ece
Business Markets
Sensex up 123 points in late buying amid firm European markets
37,
PTI Gains were led by metals, realty, auto, banking, consumer durables, power and IT stocks. File photo
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09-Feb-2012 7:46 AM
The Hindu : Business News : Sensex back at 18-K level after 6 months
1 of 1
http://www.thehindu.com/business/article2896305.ece
Business
Sensex back at 18-K level after 6 months
37,
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Comments
Edging closer to the 13000 mark, the Dow finished the week
with solid gains on Friday as Wall Street bets Greece will
finally receive its long-awaited bailout, but the Nasdaq
Composite failed to join the party.
/LNH
Today's Markets
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M
36.25
77.66
TIME
WARNER ... +0.62
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32.85
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+0.98
The gains in the broader markets leave the Dow at its highest
level since May 2008 and just 50 points away from the 13000
threshold, which carries psychological importance for
investors.
Continuing their strong start to 2012 amid growing economic
hopes, all three major indexes landed in the green this week,
marking their sixth weekly gain of the last seven.
The latest bullishness comes as market participants are
growing increasingly confident Greece will be able to avoid a
default on its debt that analysts fear would deal a serious blow
to the European financial system.
In a significant development, the European Central Bank has
17-Feb-2012 6:37 PM
Greek Hopes Drive Dow Near 13K, Nasdaq Takes a Breather | Fox Business http://www.foxbusiness.com/investing/2012/02/17/greece-drives-dow-ne...
3 of 6
17-Feb-2012 6:37 PM
Greek Hopes Drive Dow Near 13K, Nasdaq Takes a Breather | Fox Business http://www.foxbusiness.com/investing/2012/02/17/greece-drives-dow-ne...
4 of 6
out from the MSG Network in 2012, The New York Times
reported. The news sent MSG shares to all-time highs.
Macy's (M: 36.25, +0.95, +2.69%) CEO Terry Lundgren
unveiled plans to hire 4,000 full-time employees this year,
Reuters reported.
Foreign Markets
European blue chips rallied 1.2% to 2520.31, the English FTSE
100 gained 0.33% to 5,905 and the German DAX jumped 1.4%
to 6,848.
In Asia, the Japanese Nikkei 225 climbed 1.6% to 9,384 and
the Chinese Hang Seng rose 1% to 21,492.
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17-Feb-2012 6:37 PM
Stocks close
higher on positive
economic data
By Catherine Tymkiw
February 23, 2012: 4:33 PM ET
Page 1 of 3
24 points, or 0.8%.
79% of fund managers didn't beat the S&P
While worries about Greece continue to
loom in the background, investors were
encouraged by a reading on Germany's
business conditions that rose for a fourth
straight month in February -- the highest
level since July, according to the Munichbased Ifo institute.
Meanwhile, the European Commission said
Thursday that it expects the eurozone will
likely face a mild recession in 2012, thanks
to negative growth in Greece, Portugal, Spain
and four other countries.
Art Hogan, managing director at Lazard
Capital Markets, said markets are 'more
resilient' in the face of negative economic
data now than in 2011, when stocks had wild
100-point swings on the tiniest negative (or
positive) headline.
In the United States, the number of workers
filing for unemployment in the United
States was 351,000, the Labor Department
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23-Feb-2012
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23-Feb-2012
Page 3 of 3
year.
Apple (AAPL, Fortune 500) holds its
shareholder meeting in Cupertino, Calif., on
Thursday.
and commodities: The dollar fell against
the euro, the British pound and the Japanese
yen.
Fear of Iran is inflating gas prices
Oil for April delivery edged up $1.55 to
$107.83 a barrel. Oil prices have climbed
more than 5% in the last week, and are
inflating gas prices too, amid rising
nervousness over Iran's nuclear program.
The price of regular unleaded gasoline
jumped 3.3 cents overnight to $3.61 a
gallon, according to motorist group AAA.
Gold futures for April delivery rose $15 to
$1,786.30 an ounce.
: The price on the benchmark 10-year U.S.
Treasury increased slightly, pushing the
yield down to 1.995% from 2% late
Wednesday.
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/LNH
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OLNHV6LJQ8S WR
ZKDW\RXUIULHQGVOLNH
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Comments (1)
Wall Street posted solid gains for the second day in a row, with
the broad S&P 500 jumping nearly 1%, amid optimism Greece
may be nearing a conclusion to the months long debt-exchange
saga.
/LNH
Today's Markets
Share
Is Your Ban
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(Daily Financ
As N.Y. Mad
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Tweet 1
The Dow Jones Industrial Average climbed 70.6 points, or
0.55%, to 12908, the S&P 500 gained 13.3 points, or 0.98%, to
1366 and the Nasdaq Composite rose 34.7 points, or 1.2%, to
2970.
Share
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CAT
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The rally on the day was quite broad, with several sectors
posting big gains. Some of the best performers could be found
within the materials, industrial, healthcare, technology and
financial sectors. Meanwhile, safety plays like utilities and
consumer staples rose more modestly. Volatility plummeted
more than 5% and traders kept moving out of safe-haven
assets. Indeed, the yield on the 10-year note rose 0.043percentage point to 2.014%.
Out of the blue chips, Alcoa (AA: 9.77, +0.22, +2.30%), the
aluminum giant, Caterpillar (CAT: 110.28, +2.00, +1.85%), the
world's biggest maker of heavy machinery and chemical-maker
DuPont (DD: 51.08, +0.85, +1.69%) posted the biggest gains.
On the other end of the spectrum, McDonald's (MCD) shares
struggled, shedding 3% and paring more than 20 points off of
09-Mar-2012 12:09 AM
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http://www.thehindu.com/business/markets/article2977933.ece
Business Markets
Sensex up 358 points
37,
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The markets leaped on Tuesday, with the Nasdaq closing above 3000 for the first time in more than a decade,
after JPMorgan's unexpected dividend hike and stock buyback added to enthusiasm over an upbeat economic
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A brighter outlook for the U.S. economy and calming tensions over Europe's debt
crisis whetted traders' risk appetite, sending Wall Street surging in its best firstquarter performance in 14 years.
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REUTERS
Show More
GAS PRICES
In a sign of traders' appetite for risk, the yield on the 10-year Treasury
jumped 0.34-percentage point to 2.218% as they fled the shelter of U.S.
debt. Meanwhile, volatility plunged by one third as tracked by the
Chicago Board of Options Exchange's VIX, sometimes referred to as
Wall Street's fear gauge.
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30-Mar-2012
Out of the major sectors, financials performed the best by far. In fact,
JPMorgan Chase (JPM: 45.98, +0.31, +0.68%) and Bank of America
(BAC: 9.57, +0.04, +0.42%) were the best performers on the Dow, while
American Express (AXP: 57.86, -0.03, -0.05%) came in fourth.
Technology stocks had a particularly strong showing as well, helped by
rallying shares of titans like Apple (AAPL: 599.55, -10.31, -1.69%) and
Microsoft (MSFT: 32.26, +0.14, +0.42%).
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Utilities like Consolidated Edison (ED: 58.42, +0.42, +0.72%) were the
biggest laggards. Consumer staples such as Procter & Gamble (PG:
67.21, +0.20, +0.30%) also posted a fairly anemic performance.
Energy futures got a boost on the quarter from the upbeat sentiment
and also heightened concerns that strife between Western countries
and Iran would strangle the world's supply of oil. Crude oil traded in New
York climbed $4.19, or 4.2%, to $103.02 a barrel. New York Harbor
gasoline put on much bigger gains: zooming 70 cents, or 26.2%, to
$3.39 a gallon.
In metals, gold jumped $103.50, or 6.6%, to $1,669 a troy ounce.
+0.31
A stream of strong data on the U.S. economy, the world's biggest, has
played a major role in the rally, although several key reports this week
came in beneath Wall Street's optimistic expectations.
The markets have also been helped by a calming of fears over the
European debt crisis that had roiled the markets during the summer of
2011. Indeed, sovereign debt yields have fallen significantly in countries
like Spain and Italy, and Europe's financial system has gotten a boost
from cheap loans by the European Central Bank. Still, some analysts
wonder what will happen when global central banks and big players like
Germany begin to ease off of their pro-growth policies.
"Investors can look back on the past three months with a degree of
satisfaction, after the impressive run higher for markets," Chris
Beauchamp, a market analyst at London's IG Index wrote in an e-mail.
"However, the future looks less assured."
On that front, eurozone finance ministers agreed on Friday to
temporarily boost the firepower of the 17-member currency bloc's
rescue funds. The so-called firewall that is designed to help mitigate the
effects of the debt crisis in Greece and other areas in the periphery will
now hit nearly $934 billion in total.
Consumer sentiment jumped during the end of March. The final reading
of the Reuters/University of Michigan's gauge rose to 76.2 from a
preliminary reading of 74.3. Economists were looking for 74.7.
http://www.foxbusiness.com/markets/2012/03/30/wall-street-vaults-higher-in-b...
30-Mar-2012
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After posting the best first quarter in more than a decade, the markets
continued on their upward march as a strong reading on the U.S.
manufacturing sector reinforced traders' bullish sentiment.
Share
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The energy and basic materials sectors posted the best performance on
the day on the back of a strong showing in futures markets. Consumer
staples, financials and technology companies performed well too, with
the former hitting an all-time high as tracked by the Consumer Staples
Select Sector SPDR (XLP: 34.35, +0.27, +0.79%).
Show More
GAS PRICES
The global economy is expected to take the spotlight during the holidayshortened trading week, with key reports on tap every day leading up to
the monthly employment report from the Labor Department.
The Institute for Supply Management's closely-followed gauge of U.S.
manufacturing activity rose to 53.4 in March from 52.4 in February,
suggesting the sector is expanding at a quicker pace. Meanwhile, U.S.
construction spending slid 1.1% in February from the month prior, the
biggest fall since July 2011. Economists expected an increase of 0.6%.
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Dow Lifted by Strong Earnings, But Apple Weighs on Nasdaq | Fox Business http://www.foxbusiness.com/markets/2012/04/24/dow-lifted-by-strong-ea...
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By Adam Samson
Published April 24, 2012 | FOXBusiness
4/24/2012 11:52 PM
Dow Lifted by Strong Earnings, But Apple Weighs on Nasdaq | Fox Business http://www.foxbusiness.com/markets/2012/04/24/dow-lifted-by-strong-ea...
2 of 2
supply has remained high and credit conditions have remained tight.
Also on the economic front, the Conference Board's consumer confidence gauge fell to 69.2 in April from a downwardly revised 69.5
in March. The reading was expected to fall to 69.7 from an initally reported 70.2. The Federal Reserve also begins its two-day
policy meeting on the day, with a statement expected on Wednesday.
Elsewhere, commodities were mixed. Crude oil traded in New York rose 44 cents, or 0.43%, to $103.55 a barrel. Wholesale New
York Harbor gasoline slipped 0.88% to $3.16 a gallon.
In metals, gold climbed $11.20, or 0.69%, to $1,643 a troy ounce.
Foreign Markets
European blue chips surged 1.8%, the English FTSE 100 gained 0.78% to 5666 and the German DAX rallied 1% to 6590.
In Asia, the Japanese Nikkei 225 fell 0.78% to 9468 and the Chinese Hang Seng rose 0.26% to 20677.
Close
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4/24/2012 11:52 PM
1 of 1
http://www.thehindu.com/business/markets/article3348345.ece?css=print
Business Markets
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4/24/2012 11:57 PM
Stocks: Blue chips take cue from earnings - Apr. 24, 2012
1 of 3
http://money.cnn.com/2012/04/24/markets/stocks/index.htm?iid=H_MKT...
NEW YORK (CNNMoney) -- U.S. stocks finished mixed Tuesday, with the Dow holding onto solid gains, while Netflix's
disappointing outlook weighed down tech stocks.
"Stocks are moving higher today on the back of decent earnings reports, but overall, I think investors are wondering
whether the economic and market momentum that boosted stocks from last October through March is starting to fade,"
said Michael Sheldon, chief market strategist at RDM Financial Group.
Two reports released early Tuesday showed the housing recovery is still on shaky ground. S&P/Case-Shiller reported
another decline for home prices in February, and the U.S. Census reported that new-home sales dropped 7.1% in
March.
The Dow Jones industrial average ( INDU) rose 74 points, or 0.6%, boosted by better-than-expected earnings from AT&T
( T , Fortune 500) and 3M ( MMM, Fortune 500).
The S&P 500 ( SPX) added 5 points, or 0.4%. Hershey ( HSY, Fortune 500), which surged to a 7-year high, and Baker
Hughes ( BHI, Fortune 500) were among the top gainers. Both companies also topped first-quarter earnings estimates.
The Nasdaq ( COMP) slid 9 points, or 0.3%, dragged lower by declines in big technology players including Netflix
( NFLX) and Apple ( AAPL, Fortune 500).
Shares of Netflix tumbled almost 14% Tuesday, a day after the company posted a first-quarter loss and issued a weak
outlook.
Apple, the world's most valuable company, reported earnings after the market closed. Shares of the iPhone and iPad
maker have been struggling lately, and finished Tuesday 13% lower since hitting an all-time high earlier this month.
The stock spiked in after-hours trading after Apple's fiscal second-quarter earnings results blew past Wall Street's
expectations. The company posted $39.2 billion in sales, nearly 60% increase from last year, while earnings nearly
doubled to $11.6 billion.
During the last two years, stocks have performed strongly during the first quarter, only to deteriorate into the summer
before recovering again, noted Sheldon.
While he remains positive on the market's outlook this year, he said Europe continues to be an issue.
"Europe remains a mess," said Sheldon. "The question we're asking is, 'Does it get worse from here before it get better?'"
4/24/2012 11:54 PM
Stocks: Blue chips take cue from earnings - Apr. 24, 2012
2 of 3
http://money.cnn.com/2012/04/24/markets/stocks/index.htm?iid=H_MKT...
The week began with a downward push on stocks, driven by European political uncertainty and signs of a slowdown
in the Chinese economy. All three major U.S. indexes ended lower Monday.
World markets: Some of the political worries in Europe cooled Tuesday, a day after the Dutch prime minister resigned
due to the collapse of his governing coalition. Despite his resignation, an auction of nearly 2 billion in bonds by the
Netherlands went well Tuesday, sending yields of the nation's benchmark bonds slightly lower.
Spain, whose finances have also been a growing concern in recent weeks, also had a successful bond auction of nearly
2 billion. Its yields fell as well.
European stocks closed higher. Britain's FTSE 100 (
while France's CAC 40 ( CAC40) climbed 2.3%.
Asian markets ended mixed. The Shanghai Composite ( SHCOMP) and Hong Kong's Hang Seng (
above breakeven, while Japan's Nikkei ( N225) slid 0.8%.
Economy: Home prices hit yet another post-bubble low, according to the February reading of the S&P/Case-Shiller Home
Price Index. Prices were down 3.5% from a year earlier, at their lowest level since November 2002. The data came in
slightly worse than the 3.4% annual decline expected by economists surveyed by Briefing.com.
Will China's real estate bubble burst?
The U.S. Census reported that new-home sales dropped 7.1% in March to an annual rate of 328,000. Economists were
expecting sales to come in at an annual place of 318,000.
The March Consumer Confidence Index, which speaks to the public's degree of optimism, fell to 69.2 in April, from 70.2
the previous month. Economists were expecting a reading of 69.5.
Companies: One of the busiest weeks for corporate results continued, with several heavyweights reporting first-quarter
numbers.
In addition to AT&T and 3M, Dow component United Technologies (
than-forecast rise in earnings.
Texas Instruments' ( TXN, Fortune 500) quarterly earnings dropped sharply, marking the fourth consecutive quarter of
falling profits, sending shares lower. Despite the recent performance, the company issued an upbeat outlook for growth.
Slowdown in China? Not for luxury brands
About a third of the companies in the S&P 500 have reported results, and more than 75% have exceeded analyst
expectations, according to Thomson Reuters. In a typical quarter, a little over 60% of companies beat estimates.
Meanwhile, shares of Big Lots ( BIG, Fortune 500) plunged more than 24% after the company revised its first-quarter
outlook for U.S. same-store sales, a key measure for retailers, lower from its March forecast. Last month, the discount
retailer estimated same-store sales would rise between 2% and 4% during the first quarter. Now, Big Lots said it expects
sales to be "slightly negative."
IBM ( IBM, Fortune 500) boosted its quarterly dividend 13% to 85 cents per share, marking the 17th straight year of
increases. The company's board also approved a $7 billion share buyback program.
Following Tuesday's closing bell, Chinese Internet giant Baidu ( BIDU) reported solid first-quarter financil results, but the
company's second-quarter sales outlook was below expectations, sending shares lower.
Currencies and commodities: The dollar lost ground against the euro and the British pound, but rose versus the
Japanese yen.
Oil for June delivery rose 44 cents to settle at $103.55 a barrel.
Gold futures for June rebounded, gaining $11.20 to settle at $1,643.80 an ounce.
4/24/2012 11:54 PM
Stocks: Blue chips take cue from earnings - Apr. 24, 2012
3 of 3
http://money.cnn.com/2012/04/24/markets/stocks/index.htm?iid=H_MKT...
Bonds: The price on the benchmark 10-year U.S. Treasury were lower, pushing the yield up slightly to 1.96% from 1.93%
late Monday.
First Published: April 24, 2012: 9:47 AM ET
2012 Cable News Network. A Time Warner Company. All Rights Reserved. Terms under which this service is provided to you. Privacy Policy. Ad choices .
4/24/2012 11:54 PM
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U.S.
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DJIA
Asia
1,390.69
1 day
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13,090.72
+89.16
Nasdaq
3,029.63
+68.03
FOX 50
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+16.63
Reuters
A blockbuster earnings report from Apple boosted sentiment across Wall Street,
sending the markets whizzing deep into positive territory.
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by basic materials stocks. Indeed, the Nasdaq had its best day of the
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European blue chips rallied 1.7%, the English FTSE 100 rose 0.16% to
5719 and the German DAX soared 1.7% to 6705.
In Asia, the Japanese Nikkei 225 climbed 0.98% to 9561 and the
Chinese Hang Seng slumped 0.15% to 20646.
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As of 2:45 p.m. ET, the Dow Jones Industrial Average climbed 122
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April was a weak month for Wall Street; indeed, the broad S&P 500
ended with a 0.75% loss, snapping a four-month winning streak.
However, May was starting off with a bang.
The biggest gainers on the day were energy and financial shares.
Volatility dropped some 3.2% as tracked by the CBOE's VIX and the
yield on the 10-year U.S. Treasury bond rose 0.04-percentage points to
1.958% as traders fled the safe-haven asset.
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Not all data beat expectations, however. A separate report from the
Commerce Department showed construction spending climbed 0.1% in
March, a slower pace than the 0.5% economists had expected.
The major automakers also report monthly sales data on the day.
Chrysler posted U.S. sales of 141,165 units in April, a 20% increase
from the same month in 2011. Ford (F: 11.10, -0.13, -1.16%),
meanwhile, saw a 5% drop to 180,350. General Motors (GM: 22.93, 0.38, -1.63%) saw an 8.2% drop to 213,387 units.
On the corporate front, Pfizer (PFE: 22.66, -0.12, -0.53%) unveiled an
adjusted first-quarter profit of 58 cents a share, beating estimates by
two cents. The health-care giants revenue came in at $15.4 billion,
slightly short of the $15.47 billion analysts expected. The Dow
component also said it sees its full-year adjusted earnings hitting
between $2.14 and $2.24 a share. Analysts were looking for $2.26 for
2012.
Centerbridge Partners also revealed it is taking P.F. Changs (PFCB:
51.44, -0.04, -0.07%) private in $1.1 billion deal. The companies said
shareholders will receive $51.50 a share, a roughly 30% premium.
Commodities were mixed. Crude oil traded in New York jumped $1.29,
or 1.2%, to $106.16 a barrel. Wholesale New York Harbor gasoline
dipped 0.88% to $3.10 a gallon.
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The blue chips closed out the day in the green for the first time in seven
sessions. However, trading volume on the day was tepid and the
strongest buying was seen among defensive stocks.
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The Commerce Department reported the U.S. trade deficit rose to $51.8
billion in March from a downwardly-revised $45.4 billion in February.
Economists were expecting the deficit to rise to $50 billion from a
previously reported $46 billion. Exports climbed 2.9%, but that gain was
counteracted by a 5.2% jump in imports. On an absolute level, both
exports and imports hit all-time highs.
The gap, which represents the difference between exports and imports,
will figure directly into measure of first-quarter gross domestic product
and are a key indicator of the competitiveness of the world's biggest
economy.
"This report suggests that trade may now be a plus for growth in the first
quarter of 2012," IHS Global Principal U.S. Economist Gregory Daco
wrote in a research note. "However, it is important to remember that the
U.S. is not immune to a sharper global deceleration."
Separately, new claims for unemployment benefits fell to 367,000 last
week from an upwardly-revised 368,000 the week prior, according to the
Labor Department. Economists were expecting claims to rise to 369,000
from an initially reported 365,000.
This is the first major report on the jobs market since a disappointing
April jobs report released last Friday that showed the U.S. economy
adding considerably fewer jobs than expected.
China revealed that its trade surplus grew to $18.4 billion in April from
$5.4 billion in March. Economists expected a reading of $10.4 billion.
The country saw its exports rise by a considerably smaller margin than
expected, coupled with essentially no import growth.
"Slowing exports suggested that the Chinese economy is feeling the
effects of flagging demand in its main external markets, while the sharp
fall in import growth suggested slowing investment within China," Gavan
Nolan, director of credit research at Markit in London wrote in an email.
Concerns that the world's No. 2 economy is slowing down were
counteracted to some extent by hopes that the data would prompt
Bejing to take action to boost the economy: "From a policy perspective,
the set of weak trade data reinforces our view that policymakers
priorities should lie in promoting growth," analysts at Nomura wrote in a
research note.
In energy markets, crude oil prices ended in the green for the first time
in seven days. Futures traded in New York gained 27 cents, or 0.28%,
to $97.08 a barrel. Wholesale New York harbor gasoline slipped 0.46%
to $3.01 a gallon.
In metals, gold rose $1.30, or 0.08%, to $1,596 a troy ounce.
Foreign Markets
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Eurozone blue chips climbed 0.98%, the English FTSE 100 rose 0.25%
to 5544 and the German DAX gained 0.66% to 6518.
In Asia, the Japanese Nikkei 225 slumped 0.39% to 9010 and the
Chinese Hang Seng shed 0.51% to 20227.
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fund data provided by Lipper. Economic data provided by Econoday. Dow Jones & Company Terms & Conditions.
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http://www.foxbusiness.com/markets/2012/05/10/dow-stems-six-day-slide-trad... 11-May-2012
The Hindu : Business News : Sensex ends 200 points higher on stronger rupee
1 of 1
http://www.thehindu.com/business/article3465609.ece
Business
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1
Today's Markets
The Dow Jones Industrial Average rose 93 points, or 0.75%, to 12554,
the S&P 500 rose 10.7 points, or 0.81%, to 1326 and the Nasdaq
Composite jumped 27.4 points, or 0.97%, to 2858.
For the week, the Dow jumped 3.6%, the S&P 500 gained 3.7% and the
Nasdaq rallied 4%.
With little in the way of economic data released this week, market
participants have been focused on a stream of commentary from global
central banks. However, much of the news has come as a
disappointment. The European Central Bank and Bank of England both
held off on making changes to their monetary policy, while commentary
from Federal Reserve Chairman Ben Bernanke was interpreted as
suggesting the central bank isn't quite ready to unleash another round of
easing. Still, traders remained hopeful that easing may be on the way in
the near future.
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The U.S. trade deficit narrowed in April to $50.06 billion from $52.62
billion in March. Economists had been expecting the deficit to fall to
$49.5 billion. Looking into the report, exports dipped 0.8%, while imports
dropped 1.7%. While the report is a lagging indicator, the difference
between the imports and exports figures directly into broader gauges of
second-quarter economic growth. The bigger the deficit, the more it
detracts from gross domestic product.
Commodities were mixed. The benchmark crude oil contract traded in
New York slipped 72 cents, or 0.85%, to $84.10 a barrel. Wholesale
New York Harbor gasoline rose 0.01% to $2.69 a gallon.
In metals, gold climbed $3.40, or 0.21%, to $1,591 a troy ounce.
Foreign Markets
The Euro Stoxx 50 rose 0.04% to 2144, the English FTSE 100 slid
0.23% to 5435 and the German DAX slumped 0.22% to 6131.
In Asia, the Japanese Nikkei 225 tumbled 2.1% to 8459 and the
Chinese Hang Seng skidded lower by 0.94% to 18502.
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Quotes delayed at least 15 minutes. Market Data provided by Interactive Data (Terms & Conditions). Powered and implemented by Interactive Data Managed Solutions. Company
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http://www.foxbusiness.com/markets/2012/06/29/stocks-soar-as-traders-cheer-... 29-Jun-2012
Stocks end first half of 2012 with a bang - Jun. 29, 2012
Page 1 of 2
NEW YORK (CNNMoney) -- U.S. stocks soared Friday, and all three indexes closed out the first half of 2012 up more than
5%. The Nasdaq has etched double-digit gains.
A deal among European leaders to help struggling eurozone banks buoyed global markets Friday, at least temporarily
erasing investors' looming fears over the viability of the eurozone.
While stocks have clocked broad gains for the year, all three indexes closed out the second quarter below first quarter
highs. Fears over Europe pushed stocks down nearly 10% in early June.
Still, on Friday, investors looked solely at what was accomplished at the two-day European Union summit in Brussels.
European leaders struck a "breakthrough" deal early Friday aimed at easing the recapitalization of banks.
Expectations were so low heading into the summit that the surprise announcement sparked widespread euphoria. Investors
were relieved to see sky-high bond yields in Spain and Italy retreat from 7% -- the level that flashes bailout warning signals.
Fear & Greed Index hits neutral
"We're finally seeing a cause and effect," said Frank Davis, director of trading at LEK Securities. "It's a very positive sign
that they can have a timely impact with some of the moves EU leaders make."
The Dow Jones industrial average ( INDU) closed the day up 278 points, or 2.2%. The S&P 500 ( SPX) gained 33 points,
or 2.5%. The Nasdaq ( COMP) added 86 points, or 3%.
Financial stocks led the broad worldwide rally.
In Paris, BNP Paribas ( BNPQF) and Credit Agricole ( CRARY) and Societe Generale ( SCGLY) rose nearly 10%. In
Frankfurt, Commerzbank ( CRZBY) rose 5% and Deutsche Bank ( DB) surged 7%. In Madrid, Banco Santander ( SAN)
jumped 7%.
In the United States, Bank of America ( BAC, Fortune 500), Citigroup ( C, Fortune 500), Morgan Stanley ( MS,
Fortune 500) and Goldman Sachs ( GS, Fortune 500) all rose between 2% and 6%.
JPMorgan ( JPM, Fortune 500), which is still reeling from news that its trading losses could jump as high as $9 billion,
dipped slightly, and Barclays ( BCS), which is under pressure for manipulating LIBOR rates, closed down 5%
U.S. stocks closed in negative territory Thursday, after clawing back in the final hour of trading from much steeper losses.
World markets: The EU deal includes a mechanism to inject capital directly into banks, which may reduce what Investec
bond analyst Elisabeth Afseth called "the bank-sovereign negative feedback loop."
http://money.cnn.com/2012/06/29/investing/stocks-markets/index.htm?source=... 29-Jun-2012
Stocks end first half of 2012 with a bang - Jun. 29, 2012
Page 2 of 2
Afseth said the loop starts when a nation borrows to recapitalize its troubled banks, which then increases the country's debt,
pushes up bond yields, reduces bond values and forces banks to require even more capital.
European leaders reach key deal on banks
"It's an important step," Afseth said, but she remains skeptical. "You have to be a little bit concerned where the funds are
coming from. They could potentially run out quite quickly."
EU leaders are hoping for implementation of the bank agreement by July 9.
European stocks all closed higher. Britain's FTSE 100 ( UKX) added 2%, the DAX ( DAX) in Germany jumped 3.5% and
France's CAC 40 ( CAC40) rallied 3.8%.
Asian markets also ended higher. The Shanghai Composite ( SHCOMP) closed just above breakeven, while the Hang
Seng ( HSI) in Hong Kong surged 3.1% and Japan's Nikkei ( N225) gained 1.5%.
Economy: The Chicago Purchasing Managers' Index for June came in at 52.9, slightly below expectations of 53, but up
from 52.7 last month. Any reading above 50 signifies expansion in the region's manufacturing sector.
The University of Michigan's Consumer Sentiment Index for June came in below expectations at 73.2, compared with 74.1
in May.
Companies: Home builder KB Home ( KBH) reported a second-quarter loss Friday that was smaller than expected,
which pushed shares up 13%.
Nike ( NKE, Fortune 500) shares tumbled 9%, a day after the company reported quarterly earnings that missed analyst
estimates.
Shares of Research In Motion ( RIMM) fell 19%, after the BlackBerry-maker reported a wider-than-expected loss
Thursday, and another delay of its long-awaited BlackBerry 10 operating system.
Ford ( F, Fortune 500) shares slid nearly 5%. On Thursday, the automaker lowered its guidance based on poor
performance by its international divisions.
Shares of gun manufacturing company Smith & Wesson ( SWHC) surged after the company's earnings beat profit
expectations by a wide margin.
Currencies and commodities: The dollar fell against the euro, British pound and Japanese yen.
Oil for August delivery rose $7.27 to $84.96 a barrel.
Gold futures for August delivery jumped $53.80 to $1,604.20 an ounce.
Bonds: The price on the benchmark 10-year U.S. Treasury fell, pushing the yield up to 1.65% from 1.58% late Thursday.
First Published: June 29, 2012: 9:48 AM ET
2012 Cable News Network. A Time Warner Company. All Rights Reserved. Terms under which this service is provided to you. Privacy Policy. Ad choices
http://money.cnn.com/2012/06/29/investing/stocks-markets/index.htm?source=... 29-Jun-2012
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The markets closed out the holiday-shortened trading session with solid
gains, driven by energy and materials shares that got a boost from
rallying commodity prices.
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9.60
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Oil prices rallied on the back of saber rattling by Iran. The country,
which has been facing stiff sanctions from the U.S. and European
Union, has once again began talking about potentially trying to cut the
critical Straight of Hormuz off to tankers that have the flag of the
countries that are sanctioning it, according to multiples news reports.
The benchmark contract traded in New York soared $3.23, or 3.9%, to
$86.98 a barrel. Wholesale New York Harbor gasoline jumped 3.1% to
$2.706 a gallon.
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The Euro Stoxx 50 rose 1.2% to 2320, the English FTSE 100 gained
0.83% to 5688 and the German DAX climbed 1.3% to 6578.
In Asia, the Japanese Nikkei 225 jumped 0.7% to 9067 and the Chinese
Hang Seng rallied 1.5% to 19736.
http://www.foxbusiness.com/markets/2012/07/03/stocks-off-to-quiet-start-oil-cha... 04-Jul-2012
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+0.32
http://www.foxbusiness.com/markets/2012/07/26/bulls-are-back-in-town-stocks-... 26-Jul-2012
seen the yield on Spain's 10-year bonds surge well above the 7% mark.
Such high borrowing costs have prompted sovereign bailouts of
countries such as Spain and Portugal.
The euro soared 0.83% to $1.2259, while the Euro Stoxx 50 surged
4.3%. Still, many analysts remained skeptical of the somewhat vague
commentary.
"Boosting the ESM fire power may be required to stabilize peripheral
funding pressures, but it may take further market stress for member
countries to agree," analysts at Barclays wrote in a note to clients.
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On the U.S. front, Wall Street is set to get another round of earnings
news from big companies ahead of the opening bell.
3M (MMM: 90.59, +1.84, +2.07%) revealed second-quarter profits of
$1.66 a share, beating estimates by a penny. However, the Dow
components revenues came in at $7.5 billion, shy of the $7.79 billion
Wall Street anticipated.There are also a slew of economic reports on
tap.
Orders for long-lasting goods rose 1.6% in June from May, according to
the Commerce Department, topping estimates for a 0.4% increase.
Excluding the transportation segment, orders were down 1.1% from
May, the biggest decline since January. Economists were expecting
orders to be unchanged from May. The durable goods report factors into
broader measures of economic growth.
New claims for unemployment benefits fell to 353,000 last week from an
upwardly revised 388,000 the week prior, according to the Labor
Department. Claims were expected to fall to 380,000 from an initially
reported 386,000. The Labor Department said claims remain volatile as
a result of issues relating to auto-plant shutdowns, according to
Reuters.
A report on the housing market came as a disappointment.
Contracts for pending sales of previously-owned homes fell 1.4% in
June from May, according to the National Association of Realtors. Sales
were expected to rise 0.2%.
Commodities markets moved to the upside. The benchmark crude oil
contract traded in New York gained 47 cents, or 0.47%, to $89.39 a
barrel. Wholesale New York Harbor gasoline rose 0.75% to $2.814 a
gallon.
In metals, gold climbed $7.10, or 0.44%, to $1,620 a troy ounce.
Foreign Markets
The Euro Stoxx 50 surged 4.3% to 2251, the English FTSE 100 jumped
1.4% to 5573 and the German DAX rallied 2.8% to 6583.
In Asia, the Japanese Nikkei 225 gained 0.92% to 8443 and the
Chinese Hang Seng gained 0.08% to 18893.
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Quotes delayed at least 15 minutes. Real-time quotes provided by BATS Exchange. Market Data provided by Interactive Data (Terms & Conditions). Powered and
Implemented by Interactive Data Managed Solutions. Company fundamental data provided by Morningstar. Earnings estimates data provided by Zacks. Mutual
fund data provided by Lipper. Economic data provided by Econoday. Dow Jones & Company Terms & Conditions.
This material may not be published, broadcast, rewritten, or redistributed. 2012 FOX News Network, LLC. All rights reserved.
http://www.foxbusiness.com/markets/2012/07/26/bulls-are-back-in-town-stocks-... 26-Jul-2012
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The 30-share barometer, which lost over 278 points in the previous two sessions, rose by 271.48 points, or 1.63 per cent, to 16,911.30. File
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Stuck No Longer: Cisco Carries S&P 500 to 4-Month Highs | Fox Business
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But buying picked up steam late in the morning as the euro advanced
on comments from Angela Merkel and tech stocks rallied around an
earnings beat and upbeat guidance from Cisco Systems (CSCO:
19.02, +1.67, +9.63%).
The rally leaves the S&P 500 at heights unseen in four months and
within just a few points of a new four-year high. Also, all three major
indexes are now on track to advance for the sixth consecutive week.
http://www.foxbusiness.com/markets/2012/08/16/stuck-no-longer-cisco-carries... 16-Aug-2012
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Most of the Dow's 30 stocks gained ground, led by Home Depot (HD:
56.31, +1.31, +2.38%) and Cisco. The index's weakest performers were
McDonald's (MCD: 87.46, -0.35, -0.40%) and Wal-Mart (WMT), which
disclosed weaker-than-expected revenue growth.
0
2
Trading volume remains relatively quiet, however the New York Stock
Exchange broke its three-day slump of less than 3 billion shares traded.
RELATED STOCKS
EA
ELECTRONIC A...
DLTR
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BEST BUY...
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13.81
+0.72
49.11
-0.89
20.41
+1.05
69.21
The news helped lift other tech stocks like SanDisk (SNDK: 42.70,
+1.14, +2.74%) and Oracle (ORCL: 32.03, +0.48, +1.52%).
+1.00
19.87
-1.33
19.02
+1.67
The remarks helped send the euro to session highs, rising 0.56% to
$1.2355 as U.S. markets closed. Likewise, European stocks rallied, with
the Euro Stoxx 50 climbing 1.1% to fresh four-month highs and Spain's
IBEX surging 4%.
The Europeans have been talking since 2008. I think the investment
community is getting a little bit tired of the words and they want to see
actions, said Weisberg.
Meanwhile, basic materials stocks such as BHP Billiton (BHP: 69.21,
+1.00, +1.47%) received a bid after Chinese Premier Wen Jiabao
opened the door to new stimulus. Warning the "downward pressure" on
China's economy is "still big" and "may last for a while," Wen said he
sees "growing room for monetary policy operation." China's gross
domestic product is projected to slow to just 8% in 2012, its weakest
performance since 1999.
In commodities, crude oil gained for the third day in a row, jumping
$1.27 a barrel, or 1.35%, to $95.60 -- its highest settle since May 11.
Gold picked up $12.40 a troy ounce, or 0.77%, to $1,616.10.
Data Deluge Paints Mixed Picture
U.S. stocks hit session lows after the Philadelphia Federal Reserve's
manufacturing index came in at -7.1 in August, up from -12.9 in July but
missing forecasts from economists for -5 and marking the fourth
consecutive contraction. Inside the report, the six-month index was at its
lowest level in a year and the employment component tumbled to its
weakest level since September 2009.
The weaker-than-expected Philly Fed report comes a day after a New
York manufacturing gauge unexpectedly turned negative in August.
http://www.foxbusiness.com/markets/2012/08/16/stuck-no-longer-cisco-carries... 16-Aug-2012
Stuck No Longer: Cisco Carries S&P 500 to 4-Month Highs | Fox Business
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Quotes delayed at least 15 minutes. Real-time quotes provided by BATS Exchange. Market Data provided by Interactive Data (Terms & Conditions). Powered and
Implemented by Interactive Data Managed Solutions. Company fundamental data provided by Morningstar. Earnings estimates data provided by Zacks. Mutual
fund data provided by Lipper. Economic data provided by Econoday. Dow Jones & Company Terms & Conditions.
This material may not be published, broadcast, rewritten, or redistributed. 2012 FOX News Network, LLC. All rights reserved.
http://www.foxbusiness.com/markets/2012/08/16/stuck-no-longer-cisco-carries... 16-Aug-2012
Stocks end higher on Cisco earnings, economic data - Aug. 16, 2012
Page 1 of 2
NEW YORK (CNNMoney) -- U.S. stocks closed solidly higher Thursday, as investors parsed through a mixed bag of
economic data.
The Dow Jones Industrial Average and the S&P 500 ended the day up 0.6%. The Nasdaq added 1%.
Cisco Systems helped fuel the rally after reporting a quarterly profit and sales Wednesday that rose from year-ago results
and beat Wall Street's forecasts. It also boosted its dividend by 75%. Shares of Cisco ( CSCO, Fortune 500), a Dow
component, rose more than 9%.
Weekly figures for initial jobless claims increased, but came in lower than expected. Meanwhile, reports on housing starts
and building permits showed further momentum in the housing market.
The afternoon rally after a mostly flat morning came without any clear catalyst.
"There's an old Wall Street saying to never short a dull market," said Ryan Detrick, senior technical strategist at Schaeffer's
Investment Research. The low-volume trading day, he said, "increases the odds of a sharp spike like today with everyone
wondering what just happened."
Investors have grown more optimistic on the state of the housing market. Home prices and new construction have started
to pick up in recent months as foreclosures have slowed. Still, it's been difficult for investors to find a theme to trade on, said
several market watchers.
"We've seen some economic data that's been marginally positive, but overall the market narrative hasn't meaningfully
changed over the last few weeks," said Joe Tanious, global market strategist at J.P. Morgan Asset Management.
What has the potential to alter the narrative: another round of bond buying by the Federal Reserve. Investors are waiting to
see whether Fed chairman Ben Bernanke will announce a so-called QE2 in his Jackson Hole, Wyoming speech at the end
of the month.
Social Media bubble pops
One exception to the slow volume of the past several weeks: Facebook ( FB). More than 150 million shares changed
hands Thursday, pushing the stock down as much as 7% to an all-time low, as the social media company's "lock-up
period" expired. Facebook's insiders became eligible to sell off about 271 million shares Thursday, the first of a series of
lock-up expirations for the company.
Fear & Greed Index
Companies: Second quarter results from Wal-Mart Stores ( , Fortune 500) showed that the retailer is still doing well in a
sluggish economy. The company upped its forecast for the year's profits. However, both Wal-Mart and Sears Holdings ( ,
http://money.cnn.com/2012/08/16/investing/stocks-markets/index.html?iid=HP... 16-Aug-2012
Stocks end higher on Cisco earnings, economic data - Aug. 16, 2012
Page 2 of 2
Fortune 500), which also reported results, missed on revenue expectations. Wal-Mart's stock slid but Sears shares moved
higher.
Shares in two companies, Electronic Arts ( ) and Redbox parent company Coinstar ( CSTR), soared on takeover
speculation. The New York Post reported that both companies are targets for private equity firms.
Economy: The number of people filing for first-time jobless claims in the week ended Aug. 11 rose by 2,000 to 366,000,
according to the Labor Department. The weekly figure came in lower than analysts' estimate of 368,000.
Housing market data also came in better than expected, with housing starts up almost 22% from a year earlier, while
building permits rose nearly 30% from July 2011.
The Philadelphia Federal Reserve said manufacturing in the mid-Atlantic region contracted again in August. The index
came in at minus 7.1, weaker than the forecast of minus 5.. The figure was an improvement from minus 12.9 in July.
World Markets: European stocks closed higher. Britain's FTSE 100 finished the day up 0.03%. France's CAC 40 added
0.7%, and the DAX in Germany edged 0.9% higher.
Asian markets closed mixed. The Shanghai Composite shed 0.3% and the Hang Seng in Hong Kong fell 0.5%, while
Japan's Nikkei gained 1.9%.
Currencies and commodities: The dollar rose against the euro and Japanese yen, but slipped against the British pound.
Oil for September delivery notched up $1.27 to $95.60 a barrel.
Gold futures for December delivery rose $12.60 to $1,619.20 an ounce.
Bonds: The price on the benchmark 10-year U.S. Treasury moved up slightly, pushing the yield up to 1.84% from 1.81%
late Wednesday.
2012 Cable News Network. A Time Warner Company. All Rights Reserved. Terms under which this service is provided to you. Privacy Policy. Ad choices
http://money.cnn.com/2012/08/16/investing/stocks-markets/index.html?iid=HP... 16-Aug-2012
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Reports of a new QE plan by Fed and hopes that India will take more steps after hiking diesel price and capping supply of subsidised LPG, set
the trading trend Photo:AP
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A stock broker in a dealing room gives a thumps up sing as the Sensex, NiftyThe Hindu
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Brokers said trading sentiment remained bullish on continued buying by
funds and retail investors on expectations that the government will accelerate pace
of economic reforms by raising FDI cap in insurance sector. File photo
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Stocks surged higher and lifted the BSE benchmark Sensex up past the psychological 19,000 mark in early trades this morning as investors shrugged
off weak global cues and indulged in some heavy buying almost across the board, betting on hopes the government will come out with more
announcements on economic reforms following the cabinet meeting that will end today.
At 19,060.92, off a high of 19,087.60, the Sensex is now up 191.23 points or 1.01% from its previous closing mark. The Nifty index of the National
Stock Exchange, which spurted to 5798.60, is now up 60 points or 1.05% at 5791.25.
Bank and realty stocks are up sharply. Oil stocks have moved higher following a sharp decline in global crude oil prices. Capital goods, power and
automobile stocks too are mostly trading higher. Metal and FMCG stocks are up as well, while information technology stocks are subdued.
BHEL is up 3.3% at Rs 258. ICICI Bank , Bharti Airtel , Dr Reddy'sLaboratories , HDFC Bank , HDFC , Reliance Industries , Tata Motors , ITC , Bajaj
Auto ,Larsen & Toubro , Maruti Suzuki , Tata Steel , State Bank of India , Hindalco , ONGC andSterlite Industries are trading higher by 1% - 2.6%.
Tata Power , Jindal Steel & Power , Infosys , Mahindra & Mahindra , Hindustan Unilever andNTPC are also trading firm.
DLF , Axis Bank , Jaiprakash Associates , BPCL , Kotak Bank , Reliance Infrastructure ,Punjab National Bank , Grasim
Industries , ACC and Siemens are up with sharp to moderate gains.
Lupin , Cipla and HCL Technologies are down more than a percent. Tata Consultancy Services and Ranbaxy Laboratories are also trading notably
lower.
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Brokers said todays upward move was supported by recent under-performers after
RBI disappointed markets by not cutting repo rate. File photo
The Indian market received further boost on firming global trend after economic data from South Korea and Taiwan
signalled that the global slowdown may be easing
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The BSE benchmark Sensex on Tuesday rose by over 48 points in early trade. File photo
The Hindu
The Sensex, which had gained 332 points in last four trading sessions, finally closed 54.51 points, or 0.29 per cent, higher at
18,817.38. Cipla led the 17 gainers in 30-share index, followed by Jindal Steel.
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In 30-BSE index components, 23 stocks gained, while six closed with losses. Tata
Power remained unchanged.
The broad-based National Stock Exchange index Nifty rose by 38.90 points, or 0.66 per cent, to 5,896.80, led by stocks of
banking, realty shares.
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1 of 2
http://money.cnn.com/2012/12/18/investing/stocks-markets/index.html
Stocks enjoyed a nice pop Tuesday, as investors were reassured by signs that a fiscal cliff deal may be taking shape.
House Speaker John Boehner's suggestion that he was open to higher tax rates on the wealthiest Americans was
described as "progress" by the White House. President Barack Obama responded to the offer with his own comprom
on both tax increases and spending cuts.
"There's an overriding belief now that we will get a deal done in 2012," said Peter Boockvar, an equity strategist at Mill
Tabak.
Stocks, already up throughout the morning, edged even higher in the early afternoon after Standard and Poor's booste
Greece's credit rating by several notches. "It's a long slow process, but investors are happy to see that progress is b
made in Europe," said Doug DePietro, managing director at Evercore.
Related: Cerberus to sell gunmaker after massacre
The Dow Jones Industrial Average and the S&P 500 closed up between 0.9% and 1.1% respectively.
Apple ( AAPL, Fortune 500) rose nearly 3%, helping Nasdaq to a 1.5% gain for the day. Although Apple lost an
important ruling when a federal judge denied its request for a permanent ban on 26 Samsung products that Apple
charged had willfully infringed Apple's patents, investors seemed relieved to find out Samsung had dropped injunction
requests against Apple products in Europe.
Investment bank Jefferies (
JEF) reported quarterly profits Tuesday that beat forecasts. Shares rose 3%.
In the wake of the massacre in Newtown, Conn., gun manufacturers continued to trade lower. Smith & Wesson (
dropped 10%, and Sturm Ruger ( RGR) fell 7%.
After the closing bell Tuesday, tech giant Oracle (
SW
18-Dec-2012 8:59 PM
2 of 2
http://money.cnn.com/2012/12/18/investing/stocks-markets/index.html
forecasts for profits and revenues. The stock rose after hours.
Fear & Greed Index
European markets closed higher. Meanwhile, Asian markets ended mixed, with Japanese shares continuing to rally
hopes of further economic stimulus following the election victory for Shinzo Abe's Liberal Democratic Party.
The dollar fell against the British pound and the euro, and was little changed versus the Japanese yen.
In other markets, oil prices rose slightly, and gold sold off sharply, dropping more than 1.5%.
The 10-year U.S. Treasury note dropped sharply, causing its yield to rise to 1.83%.
2012 Cable News Network. A Time Warner Company. All Rights Reserved. Terms under which this service is provided to you. Privac
Policy. Ad choices .
18-Dec-2012 8:59 PM
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In 30-BSE index components, 23 stocks advanced, while seven closed with losses. Photo:AP
Banking sector stocks hogged limelight after the banking Bill passed in Parliament on Tuesday
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U.S. stocks drifted higher Thursday as fiscal cliff negotiations in Washington seemed to be headed for a showdown.
The Dow Jones industrial average and the S&P 500 both gained about 0.5%. The Nasdaq rose 0.2%.
Shares of large U.S. banks were among the best performers, with Bank of America ( BAC, Fortune 500) and JPMorgan Chase
( JPM, Fortune 500) leading the Dow. Goldman Sachs ( GS, Fortune 500), Citigroup ( C, Fortune 500), Morgan Stanley
( MS, Fortune 500) and Wells Fargo ( WFC, Fortune 500) were also higher.
After making progress earlier this week, President Obama and House Speaker John Boehner butted heads Wednesday, ahead
of the year-end deadline for an agreement on tax hikes and spending cuts.
Lawmakers in the House will vote later Thursday on Plan B, a GOP version of an agreement on the fiscal cliff. The White House
has already threatened to veto that plan, saying it would bring only "minimal" changes in projected budget deficits.
Boehner said Thursday he was not convinced Plan B would die in the Senate, where Democrats have a majority. But he criticized
Obama for not making concessions on spending cuts and entitlement reform after Republicans gave ground on tax hikes.
"I am convinced the president is unwilling to stand up to his own party on the big issues that face our country," said Boehner.
While failing to resolve the fiscal cliff could tip the economy back into recession, some investors have accepted that the talks will
probably continue into early next year.
"I increasingly believe that we are going to fall off the fiscal cliff," said Jack Ablin, chief investment officer at BMO Private Bank.
"But it will not be the end of the world."
Investors downplayed the risk of missing the deadline, suggesting that lawmakers could delay some spending cuts and that
changes to the tax code could be made retroactive.
"It doesn't have to be an immediate nose dive," said Art Hogan, managing director at Lazard Capital Markets. "But the market is
certainly not going to celebrate if the deal gets pushed into next year."
As has been the case recently, the fiscal cliff continued to trump economic fundamentals.
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The government released its final estimate of third-quarter GDP growth -- a 3.1% annual rate, much faster than the 1.3% rate in
the second quarter. In other economic news, jobless claims rose by 17,000 to 361,000 in the latest week.
Existing home sales rose 5.9% in November to an annual rate of 5.04 million, according to the National Association of Realtors.
It was the highest sales rate since November 2009.
Manufacturing activity in the Philadelphia area rebounded in December, according to a report from the Federal Reserve Bank of
Philadelphia. The Philly Fed index rose to 8.1 for the month, up from a negative 10.7 in November.
On the corporate front, shares of NYSE Euronext ( NYX) surged 34% after the operator of the New York Stock Exchange
agreed to be bought by IntercontinentalExchange Inc ( ICE) for $8.2 billion in cash and stock.
After the closing bell, BlackBerry maker Research in Motion ( RIMM) said it lost 22 cents per share in the third quarter, which
was a smaller loss than expected. Nik ( NKE, Fortune 500)e reported earnings of $1.14 per share in the company's fiscal second
quarter, topping analyst forecasts.
KB Home (
KBH) shares fell after the homebuilder reported quarterly earnings that declined over the past year.
RAD, Fortune 500) stock soared after the company reported its first profit in more than five years.
KMX, Fortune 500) reported strong quarterly results, sending shares higher.
Bed Bath & Beyond Inc ( BBBY, Fortune 500) shares dropped after the retailer offered weak guidance when it reported
quarterly results Wednesday.
Also late Wednesday, Google ( GOOG, Fortune 500) announced it will sell its Motorola Mobility Home division, which
includes cable set-top boxes and modems, to Arris ( ARRS) for $2.35 billion. Arris stock rose about 3%, while Google ticked
slightly higher.
Fear & Greed Index
European markets ended little changed, with the exception of the CAC 40 (
Meanwhile, Asian markets ended mixed, with Shanghai and Hong Kong posting gains and the Nikkei retreating after the Bank
of Japan announced a widely anticipated extension of its bond-buying program.
The dollar was weaker against most major currencies. Oil and gold prices fell. The yield on the 10-year Treasury note fell to
1.77% from 1.8% on Wednesday.
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1 of 3
http://money.cnn.com/2012/12/31/investing/stocks-markets/index.html?ii...
U.S. stocks rallied Monday, ending a volatile year on a high note, as investors welcomed signs a fiscal cliff deal is takin
shape in Washington.
On the final day of 2012, the Dow Jones Industrial average rose 1.3%, or more than 167 points. The S&P 500 adde
1.7%. The Nasdaq rose 2%, with shares of Apple ( AAPL, Fortune 500) gaining 4.6%.
The advance came on light volume, since many professional investors are away from their desks for the holidays, trad
said. While an official agreement has yet to be announced, investors were relieved that lawmakers appear to be movin
toward an agreement to prevent tax hikes and spending cuts from taking effect Jan. 1.
"Investors were expecting the worst, so anything positive coming out of Washington is greeted with buying," said Jack
Ablin, chief investment officer at Harris Private Bank.
President Barack Obama said an agreement to prevent taxes from going up on middle-class households "is within sigh
but it's not done."
"There are still issues left to resolve, but we are hopeful that Congress can get it done," the president told a gathering
"folks" at the White House.
Obama chided lawmakers for waiting until the last possible minute, acknowledging that he will not be leaving town for t
New Year holiday. "It looks like I will be spending New Year's here, in D.C.," he said.
After the president's speech, Senator Mitch McConnell said lawmakers are "very, very close" to a deal.
Congress appears to be near an agreement to raise the income tax rate on top earners to what it was during Presiden
Clinton's last term in office, according to sources close to the process.
The deal would also increase estate taxes, extend unemployment benefits and potentially put off the $110 billion in
automatic spending cuts called for under the fiscal cliff, sources told CNN.
31-Dec-2012 5:10 PM
2 of 3
http://money.cnn.com/2012/12/31/investing/stocks-markets/index.html?ii...
The proposal, assuming lawmakers in both chambers approve it, would prevent the full force of the fiscal cliff from hittin
the economy. But it does not address the nation's long-term fiscal problems and will not resolve the uncertainty hangin
over the market, said Ron Florance, managing director of investment strategy at Wells Fargo Private Bank.
"They are a day late and several trillion dollars short of solving this problem," said Florance. "It's an embarrassment."
If a deal is announced after U.S. markets close today, global investors will not have an opportunity to respond until the
Shanghai Composite and Hang Seng markets open for trading Tuesday at 8 p.m. ET.
All major global markets will be closed Jan. 1 in observance of New Year's Day.
Related: Fear & Greed Index ends the year in greed
Despite all the uncertainty, U.S. stocks have had a pretty good year overall, with all three indexes up between 7% and
16%. By comparison, stocks ended 2011 almost exactly where they began the year, although there was a lot of movem
in between.
Stocks rallied in the first quarter of 2012 on hopes the Federal Reserve would step up its stimulus policies. But the
market took a tumble in May as concerns about Europe's debt crisis resurfaced and the U.S. economy stalled. After
bouncing back in the summer, stocks hit a high for the year in September, when the Fed announced more asset
purchases.
In November, stocks fell anew after Obama beat out Republican challenger Mitt Romeny in the race for the White Ho
Investors have been sidelined by the fiscal cliff ever since, with stocks ending little changed in December.
The ongoing battle over taxes and spending in Washington will continue to cause volatility in the market over the short
term, said Florance. But he said stocks are still priced at attractive levels relative to expectations for corporate earning
next year.
"We see a pretty healthy environment for stock investors next year," said Florance. "We're not exuberant, but modestly
bullish."
Related: S&P 500 winners and losers 2012
On Friday, European markets ended mixed. Stocks in London and Frankfurt fell, while the Paris market advanced. As
stocks got a boost from strong manufacturing data out of China. The Shanghai Composite, one of the world's wors
performing indexes, managed to eke out a 3% gain for the year and the Nikkei, which was closed Monday, ended the y
with a 20% gain.
Meanwhile, oil prices eased and gold prices edged higher. The yield on the 10-year U.S. Treasury note rose to 1.72
The U.S. dollar gained versus the euro and the yen, but fell against the British pound.
One of the only pieces of company news was a $665 million deal announced late Sunday to buy investment banking fi
Duff & Phelps ( DPG) by a joint venture led by the Carlyle Group ( CG). The offer price represented a 19% premium
over Duff & Phelps' stock close Friday.
[what's this
31-Dec-2012 5:10 PM
3 of 3
http://money.cnn.com/2012/12/31/investing/stocks-markets/index.html?ii...
2012 Cable News Network. A Time Warner Company. All Rights Reserved. Terms under which this service is provided to you. Privac
Policy. Ad choices .
31-Dec-2012 5:10 PM
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