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Tag: Europe

Research: Manufacturing Output Facing Major Headwinds in Europe

May 04 2012 13:31:04 Stanimir Zhelev in Market

Quotes from Societe Generale Cross Asset Research: -Manufacturing output is facing major headwinds in Europe but the main story in the April data will be one of volatility rather than a clearly weak trend. Read more

Research: rise in Double Dip Newsflow Highlights Growing Gap Between US and Europe

May 03 2012 15:31:03 Stanimir Zhelev in Market

Quotes from Societe Generale Cross Asset Research: -Rise in double dip newsflow highlights growing gap between US and Europe. Our proprietary indicator shows that  the  fear of double dip is back. Read more

U.s. Treasury Prices Remains steady in Europe, Growth Concerns Persist

May 01 2012 11:31:04 Stanimir Zhelev in Market

News U.S. Treasury prices held steady in Europe in thin trade as most of regional markets being closed for holidays However, worries over slower growth in both the U.S. andeuro zone were keeping yields pinned down. Benchmark 10-year Treasury yields were flat at1. Read more

Yen Advances Amid Political Turmoil In Europe

Apr 24 2012 05:01:02 Stanimir Zhelev in Market

The Japanese yen climbed against its major counterparts in the Asian session on Tuesday as investors bought safe haven assets amid continued concerns over political uncertainty in Europe. Read more

Research: Investor Anxieties Over Europe Will Likely Keep the Benchmark Em Market Indices in a Range

Apr 20 2012 10:31:07 Stanimir Zhelev in Market

Quotes from Barclays Capital: -Investor anxieties over Europe will likely keep the benchmark EM market indices in arange. We do not downplay contagion risks. However, we are not embracing a defensive strategy, as different policy puts are still in place. Read more

Research: Event Risk in Europe, Poor Seasonals and Rate Spreads to be Usd-Supportive ahead of the June Fomc Meeting

Apr 18 2012 09:01:04 Stanimir Zhelev in Market

Quotes from Standard Chartered: -For Q2, we remain  USD-bullish, particularly against G10 and selectively against emerging market (EM) currencies, with slowing global M2 growth further supporting this view. Read more

Research: Long Stoxx Europe Mining/short Aluminium

Apr 17 2012 09:01:24 Stanimir Zhelev in Market

Quotes from Societe Generale Cross Asset Research: -Evidence that aluminium demand will improve in the coming quarters has now materialised. -The euro mining sector is trading at 8x earnings below long-term average of 10x. Read more

Australian And New Zealand Dollars Slide On Europe Woes

Apr 17 2012 04:01:02 Stanimir Zhelev in Market

The Australian and New Zealand dollars declined against their major counterparts in early Asian deals on Tuesday amid lingering concerns over Europe's sovereign debt problems. Read more

Research: Contagion from Europe to Risky Assets in North America and Asia Likely to be Limited

Apr 16 2012 09:31:06 Stanimir Zhelev in Market

Quotes from Barclays Capital: -Our view on the US and China remains broadly unchanged, however. In China, the latest activity data confirmed our view of a soft landing. And in the US, we expect the gradual recovery to continue, with GDP growth on track to hit our forecast of 2.5% in Q1. Read more

Research: Pmis in Europe Continue to Suggest a Worsening Trend in the Euro-Area Periphery

Apr 12 2012 13:01:03 Stanimir Zhelev in Market

Quotes from Standard Chartered: -Economic data out of Europe has become decidedly weaker. While Germany appears to be holding up relatively well, the economic picture in southern Europe has worsened markedly. Read more

Research: Funding Conditions in Europe Appear to be Worsening

Apr 12 2012 12:01:12 Stanimir Zhelev in Market

Quotes from Standard Chartered: -After a period of post-LTRO improvement, funding conditions in Europe appear to be worsening. The key near-term trigger for risk assets is the potential for rating downgrades by Moody's of a number of European banks. Read more

Research: High Debt and Low Growth in Europe Remains a Dangerous Combination

Apr 10 2012 13:31:09 Stanimir Zhelev in Market

Quotes from Standard Chartered: -The European debt crisis is far from over. The false sense of security brought on by the European Central Bank's (ECB) 3-year liquidity provisions in December 2011 and February 2012 bought time for the fundamental problems to be solved. Read more

Asian Shares Struggle on renewed Europe Concerns

Apr 06 2012 03:31:02 Stanimir Zhelev in Market

News Asian markets were sluggish on Friday as Spain's rising yields stoked Euro zone debt concerns Investors stayed on the sidelines ahead of key U.S. jobs data, avoiding risk Nikkei slipped 0.5 pct, while MSCI's broadest index of Asia Pacific shares outside Japan was set for a weekly loss of 0. Read more

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