Emerging Markets

Daily Capital Markets Summary – May 17, 2012

by David Lee May 17, 2012

Stocks end at 4-month lows (The Dow closed 156 points lower at 12,442 and the S&P 500 closed 20 points lower at 1,305. The FTSE 100 closed 67 points lower at 5,338) Jobless claims steady, mid-Atlantic factories sag U.S. economy still faces “very tough challenges” View Our Detailed Market Summary

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EU Quarterly Macroeconomic Outlook – Q2 2012

by David Lee May 16, 2012

Political upheaval and the economic developments of the past few months offer a new and, in some sense, radically different view of the current situation and future direction of the EU. We focus our analysis on three such developments, which help us gain insight into the paradoxes of the current European reality. First, it is [...]

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Daily Capital Markets Summary – May 16, 2012

by David Lee May 16, 2012

Greece worries weigh on U.S. stocks (The Dow closed 33 points lower at 12,599 and the S&P 500 closed 4 points lower at 1,327. The FTSE 100 closed 32 points lower at 5,405) Housing starts add to recovery signs Industrial output in April rises most in over a year View Our Detailed Market Summary

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Daily Capital Markets Summary – May 15, 2012

by David Lee May 15, 2012

U.S. stocks struggle as Europe fears loom (The Dow closed 63 points lower at 12,632 and the S&P 500 closed 8 points lower at 1,331. The FTSE 100 closed 28 points lower at 5,438) April retail sales hint at slower spending pace Foreigners boost buys of long-term U.S. securities View Our Detailed Market Summary

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Daily Capital Markets Summary – May 14, 2012

by David Lee May 14, 2012

Banks keep pressure on U.S. stocks (The Dow closed 125 points lower at 12,695 and the S&P 500 closed 14 points lower at 1,339. The FTSE 100 closed 110 points lower at 5,466) Consumer sentiment at 4-year high in early May China Growth Seen at 13-Year Low by Pimco View Our Detailed Market Summary

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Daily Capital Markets Summary – May 10, 2012

by David Lee May 10, 2012

U.S. stocks end mixed amid Europe uncertainty (The Dow closed 20 points higher at 12,855 and the S&P 500 closed 3 points higher at 1,358. The FTSE 100 closed 14 points higher at 5,544) U.S. logs first monthly budget surplus in 42 months Drop in jobless claims eases labor market fears View Our Detailed Market [...]

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Europe Economic Indicators – May 2012

by David Lee May 10, 2012

Euro zone’s economic indicators point to a mild recession in the EU area. Both consumer sentiment and the business climate indicator deteriorated in April. Further, the economic sentiment indicator fell again in April, this time by 1.8%, dropping farther below the neutral mark and reflecting lack of optimism about general economic activities of industrial, service, [...]

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Daily Capital Markets Summary – May 9, 2012

by David Lee May 9, 2012

Stocks rebound from sharp sell-off (The Dow closed 97 points lower at 12,835 and the S&P 500 closed 9 points lower at 1,355. The FTSE 100 closed 25 points lower at  5,530) Wholesale inventories data points to Q1 GDP downgrade Mortgage applications gained last week View Our Detailed Market Summary

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Emerging Markets Macroeconomic Outlook – Q2 2012

by David Lee May 9, 2012

Economic growth in China will slow down slightly to 7.5% – 8.5% as decreases in the trade surplus will outpace growth in private consumption. Inflation will remain between 3% and 4% as rising commodity prices and increasing domestic demand continue to boost inflationary expectations. The trade surplus will grow at a slower pace than the [...]

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Daily Capital Markets Summary – May 8, 2012

by David Lee May 8, 2012

Stocks tumble on Greece uncertainty (The Dow closed 76 points lower at 12,932 and the S&P 500 closed 6 points lower at 1,364. The FTSE 100 closed 101 points lower at  5,555) U.S. sees China pushed to let market forces work Job Openings in U.S. Rise to Highest Level Since 2008 View Our Detailed Market [...]

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