Info with delay from BigCharts

Past articles and themes from

Info with delay from BigCharts

November 2011

 

  In this section of the site you can find all the past articles that have been added for reading. Just click the title that interests you.

 

 
1 2 3 4 5
Gold amid pressure on Greek news (Reuters)  Gold firms on new Greek debt fears (Reuters)  Oil losing strength on eurozone worries (Reuters)  Gold hopes for a 6 week top (Reuters)   
Shock referendum decision throws markets into tailspin (Reuters)  110,000 more jobs in private sector in October (Reuters)  Greek 2-yr yield up to 100% record (Bloomberg)  Euro-zone Oct. composite PMI declines to 46.5 (MarletWatch)   
Treasuries drop to one-month low (MarketWatch)  EU leaders unwilling to agree with the Greek PM (Bloomberg)   First new session for ECB new chief ends with rate cut (AP)  US adds 80,000 jobs in October (MarletWatch)   
Oil loses $2 fearing euro zone crisis (Reuters)  Treasurys fall ahead of Fed meeting (MarketWatch)  Jobless claims decline (AP)  IMF monitoring accepted by Italy (Reuters)   
European stocks under pressure; Credit Suisse loses (MarketWatch)  Brent rebounds hoping for Fed support (Reuters)  Treasuries down on Greek announcements (MarketWatch)  Private sector activity in Euro zone shrinks (Reuters)   
Italian 10-yr bonds soar to 6.30% (MarketWatch)  Data gives hope of improvement while debt still weighs (ISFM)  Gold loses gains ahead of G20 (Reuters)  Brent rises at $110.93 after European plan announced (AP)   
Concern from debt woes and data from Asia (ISFM)  Asia stays low following bank losses (MarketWatch)  Still focusing on Greece (ISFM)  European stocks appear mixed awaiting US payrolls data (MarketWatch)   
US stock futures fall after the Greek referendum announcement (MarketWatch)  Futures gain awaiting the Fed meeting (Bloomberg)  Greek news lead Europe on losses (MarketWatch)  Jobs data disappoints while confidence vote looms (ISFM)   
Asia trades lower amid new European worries (AP)  Europe gains some losses while Lloyds fall (MarketWatch)  U.S. stock futures a little up with Greece in focus (MarketWatch)  Stock futures in a flat mood ahead of payrolls data (MarketWatch)   
Dollar gains 1.3 percent (Bloomberg)  Euro rises again but worries remain on Greek news (Reuters)  Euro stronger awaiting Greek decisions (Bloomberg)  Asian stocks higher supported by exporters and resources (MarketWatch)   
Vanguard launching two bond funds and ETFs (ETFTrends)  China property out, utilities, consumers in, for hedge fund Prudence (Reuters)  Man Group announces buyback as surrenders slowing (Reuters)  Dollar rises amid European crisis news (Bloomberg)   
      New Mandarin Capital China fund planned (Reuters)   

6 7 8 9 10
  Greece ahead of a new government (MarketWatch)  Oil trades over $115 on Italian sovereign debt risk (Reuters)  Italian bond yields gain with LCH.Clearnet raising margin (MarketWatch)  Brent below $112 following market losses (Reuters) 
  Brent crude under $112 on euro zone crisis (Reuters)  Greek leaders ahead of a New Premier agreement (Reuters)  Gold still steady (Reuters)  Delays on the Permanent EU Bailout Fund (Bloomberg) 
  EFSF 10-year bond sale is on again (Bloomberg)  Moody's downgrades 3 top banks of Cyprus (AP)  Inflation in China falls on slowing food price gains (AP)  Italian bonds advance after auction (Bloomberg) 
  Hazardous Leaders (ISFM)  Gold steadies hoping for more gains (Reuters)  Economic growth in Germany expected to decline next year (AP)  Greece: Papademos is the leader of the new Greek coalition government (ISFM) 
  Gold rises 1 percent on European news (Reuters)  Treasurys lower focusing on Italian auction (MarketWatch)  Brent falls on European pressure (Reuters)  Bank of England keeps rate unchanged (MarketWatch) 
  U.S. 10-year yields fall under 2% (MarketWatch)  Societe Generale profit falls 31% on Greece (Bloomberg)  Treasurys higher on Italian news (MarketWatch)  US jobless claims decline to the lowest in 7 months (MarketWatch) 
  JGBs changed a little ahead of auctions (Reuters)  European debt crisis continues (ISFM)  Goldman Sachs climbs up to $1.5 billion selling stock in ICBC (Bloomberg)  Gold loses 2 percent as worries over the euro-zone stability remain (Reuters)
  Turmoil continues in anticipation of further European developments (ISFM)  European stocks gaining ground supported by Vodafone and Soc Gen (MarketWatch)  Eurozone debt worry increases (ISFM)  Some positive news out of Europe supports sentiment (ISFM) 
  Asian stocks lose gains on Greek political tensions (AP)  Stock futures open higher ahead of Italian vote (Reuters)  European stocks lose gains after Italian developments (MarketWatch) European stocks decline focusing on Italy (MarketWatch) 
  Stock futures open weaker amid lower equities (Reuters)  Asia remains weak on euro-zone worries (MarketWatch)  Wall Street shows lower futures (Reuters)  Stock futures gain back losses (MarketWatch) 
  European stocks decline amid Greek and Italian worries (MarketWatch) (07-11-2011)  Euro at same levels ahead of Italian vote (Reuters)  Asian stocks rise on Chinese and Italian news (AP)  Asian stocks falling fearing Italian debt (MarketWatch) 
  Euro slows down focusing on Italy (Reuters)    Euro loses ground against dollar (Bloomberg)  Euro rebounds against dollar (Bloomberg) 

11 12 13 14 15
Brent stays above $113 (Reuters)      Brent trades over $114 hoping for better euro zone economy (Reuters)  Riskier assets lead gold on lower levels (Reuters) 
Italian 10-yr bond yield still retreats (MarketWatch)      Industrial output in eurozone declines in September (Bloomberg) U.S. retail sales seem higher in October (Bloomberg) 
Italy Senate says yes to budget measures (Bloomberg)      Mario Monti is the new leader of Italian Government (Bloomberg)  Fed: Manufacturing higher in November (Reuters) 
Gold higher on Italian hopes (Reuters)      Fears remain over the euro zone crisis though new Italian and Greek leaders (Reuters) Late minute about-face brings Qatar to Airbus deal (Reuters) 
Greek Finance Minister Venizelos keeps his post (Bloomberg)      Japan economy report reflecting recovery (Bloomberg)   EU takes on the credit rating agencies (BBC) 
Consumer sentiment highest since June (MarketWatch)      UniCredit (Italy) on huge loss (MarketWatch)  Brent stays over $112 as euro-zone worries remain (Reuters) 
U.S. banks gain as Italian fears ease (MarketWatch)      Gold steadies on Italian political news (Reuters)  Low growth causes concern, sales figures give hope (ISFM) 
The week ends on a positive note (ISFM)      Some hope, but doubt clouds sentiment (ISFM)  Asia declines fearing a deeper euro-debt crisis (MarketWatch) 
Asian stocks gaining back losses supported by exports (MarketWatch)     Asia advances as Italy welcomes new leader (MarketWatch)  Stock futures fall after euro-zone concerns (MarketWatch) 
U.S. stock futures advance on less European worries (MarketWatch)      Futures lower awaiting European data (MarketWatch)  European stocks lower after French banks data (MarketWatch) 
Europe rises by global gains (MarketWatch)       Europe gains supported by Banks and Italian news (MarketWatch)  Dollar between gains and losses (Reuters) 
Euro higher after Italian developments (Bloomberg)      Euro declines on less Greek hopes (Reuters)  Some funds sell BoA as Buffett Invests (Bloomberg) 
      Global High Yield fund launched by SYZ & CO (HedgeCo.net)   
      Improvement in inflows in Asia hedge funds (Reuters)   

16 17 18 19 20

Potential 'Systemic crisis' requires more commitment (MarketWatch) 

Trader steps down from Moore Capital Fund (Reuters)  Italy yield rises, Spanish stays low; ECB ahead of buying (MarketWatch)     
Brent declines under $112 (Reuters)  Gold steadies after previous losses (Reuters)  Gold moves higher as dollar weakens (Reuters)     
U.K. unemployment reaches 8.3% - the highest since 1996 (MarketWatch)  French/German 10-year yield spread up to 200 bps (Reuters)  Greece budget plan for 2012 submitted to Parliament (BBC/Business)     
ECB intervenes to counter bond sell-off (Reuters)  Brent stays under $112 as worries continue (Reuters)  Treasuries fall leading yields higher (MarketWatch)     
Fears of contagion cast a pall on markets (ISFM)  US jobless claims drop 5,000 to 388,000 (MarketWatch)  Oil supported by weaker dollar (Reuters)     
European stocks rise again (MarketWatch)  NY Stock Exchange protest by Occupy Wall Street (Reuters)  Some recovery after the losses but is it sustainable? (ISFM)     
Gold 1 percent lower fearing a possible debt crisis in France (Reuters)  Fewer new homes built in US in October (AP)  European stocks remain down (MarketWatch)     
Italian, Spanish, French bond yields on losses (MarketWatch)  European stocks decline after Fitch Ratings (MarketWatch)  Moody’s: French bond yields threaten France’s AAA rating (MarketWatch)     
U.S. stock futures start lower on continuing European debt worries (MarketWatch)  European debt worries firmly in place (ISFM)  Stock futures regain some losses opening on Wall Street (Reuters)     
Asia still losing gains (MarketWatch)  Stock futures lower on European news (Reuters)  Asian stocks losing ground on fresh debt concerns (MarketWatch)     
Dollar higher than euro after US data (Reuters)  Asian stocks higher after losses (MarketWatch)  Galleon Group seeking restitution (Bloomberg)     
Asia hedge fund closing on asset slump (Reuters)  Euro becomes stronger on Italian bond yields (Bloomberg)  New ECB bank chief urges rescue fund progress (Reuters)     
  ECB talks lead euro higher (Reuters)       

21 22 23 24 25
European stocks fall as markets remain on worries (MarketWatch)  Gold gaining ground amid crisis worries (Reuters)  Oil declines on weak economic data and debt worries (Reuters)  Gold much stronger despite losses (Reuters)  Brent stays at $107 fearing supplies (Reuters) 
Debt issues continue to knock sentiment (ISFM)  Spanish 3-moth borrowing costs double at auction (Bloomberg)  Bank of Greece: Nation possible to be driven out of euro (MarketWatch)  Proposal for budget oversight, euro bonds (MarketWatch)  Moody’s downgrades Hungary to Ba1 (MarketWatch) 
Gold steadies after Spain’s elections (Reuters)  Treasuries on losses awaiting economic news (Bloomberg)  European bond yields higher on Dexia worries (MarketWatch)  Portuguese credit rating cut by Fitch (MarketWatch)  Italian bond yields await bill auction (MarketWatch) 
October existing home sales climb at 1.4 percent (Reuters)  Former Madoff trader pleads guilty (AP)  German govt bond auction reflecting European crisis (MarketWatch)  German bonds decline along with world stocks (Reuters)  German, French and Belgian debt insurance cost up to a record (MarketWatch) 
No capital gain distributions from Cohen & Steers for 2011 (PRNewswire)  Home sales up for October but still weak (AP)  European stocks trade lower awaiting IMF news (MarketWatch)  Brent over $107 on winter fuel demand (Reuters)  Treasuries on losses following German bunds (Reuters) 
China VP warns on grim outlook for global economy (Reuters)  S&P not planning to cut US credit rating (AP)  Gold close to $1,700 (Reuters)  Another day of concerns (ISFM)  Gold ahead of its 2nd weekly drop (Reuters) 
Treasuries higher leading 10-yr yields below 2% (MarketWatch)  U.S. Q3 growth less than expected (MarketWatch)  Weak data continues to put pressure on markets (ISFM)  Asia trading mixed while Japan declines (MarketWatch)  Italian retail sales fall on recession fears (MarketWatch) 
Oil loses more than $2 on global crisis (Reuters)  Brent rises above $107 (Reuters)  Another weak opening for futures (Reuters)  Wall Street celebrates Thanksgiving (MarketWatch)  A solution must be found so the debt crisis ends  (ISFM) 
Stock futures open lower (Reuters)  Concerns for growth and debt issues continue to weigh (ISFM)  Asian stocks lose gains on weak Chinese data (MarketWatch)  European stocks higher; Raiffeisen rising (MarketWatch)  Europe falls following banks’ drop (MarketWatch) 
Asian stocks decline on European and U.S. problems (MarketWatch)  Asian stocks remain low as global worries rise (MarketWatch)  Euro down to the lowest level against dollar (Reuters)  Euro down to a day’s low against dollar (Reuters)  Stock futures open lower on Black Friday (Reuters) 
Dollar gains after US leaders disagreement (Reuters)  Europe higher supported by resources (MarketWatch)  Regulation of hedge fund directors is a must (CayCompass)  A man from Tennessee sentenced in hedge fund scheme (Bloomberg)  Asian stocks decline with energy and banks lower (MarketWatch) 
  Futures ahead of mixed opening (Reuters)      Euro at a 7-week low as crisis seems unsolved (Reuters) 
  Dollar close to a 6-week high (Reuters)       

26 27 28 29 30
    Dollar loses ground while euro advances (MarketWatch)  Japanese jobless rate unexpectedly higher in October (MarketWatch)  Funding options decided to leverage the EFSF (MarketWatch) 
    Futures show higher opening for equities (Reuters)  Gold steadies supported by euro (Reuters)  Online Cyber Monday sales at a record (Reuters) 
    Asia rises supported by banks (MarketWatch)  Report today says that S&P may cut France outlook within 10 days (Reuters)  Euro zone faces a crucial 10-day period (Reuters) 
    Gains amid fresh crisis fears (ISFM) (28-11-2011)  Increased pressure on Europe to strengthen the EFSF (Reuters)  Top central banks take actions to avoid global liquidity crunch (Reuters) 
    Moody’s: EU ahead of crisis in sovereign ratings (AP)  Oil under $98 (AP)  Gold under pressure as dollar firms (Reuters) 
    Retails go up after Thanksgiving weekend (Reuters)  Moody’s may downgrade 87 EU banks (MarketWatch)  Brent crude drops amid uncertainty over the euro zone crisis resolution (Reuters) 
    Gold gains 1 percent hoping for a recovery (Reuters)  Asian stocks remain on high levels amid optimism (MarketWatch)  Sentiment inches up on China reserve cut (ISFM) 
    U.S. crude oil above $100 amid new worries (Reuters) Mixed data for futures (Reuters)  European market declines with S&P in focus (MarketWatch) 
    Belgium sells 2 billion euros of bonds testing first time markets (MarketWatch)  European stocks lower as banks appear under pressure (MarketWatch)  Stock futures fall after S&P bank downgrades (MarketWatch) 
    Treasurys fall sending yields on higher levels (MarketWatch)  Euro a little higher pressed by ECB (Reuters)  Asian stocks lose gains with banks and miners lower (MarketWatch) 
    European stocks higher ahead of new crisis warnings (MarketWatch)  Most hedge fund managers predict Greece will drop Euro in 2 years (Bloomberg)  Euro strengthens following central banks’ decisions (Bloomberg) 
    Italian borrowing costs climb higher (MarketWatch)    New Global Macro Hedge Fund from Ex-Goldman, Mizuho Bankers (Bloomberg) 
   
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