Stocks Uralsvyazinform grow on the media to combine into a single regional telecoms telecommunications holding
Aug 27th, 2009 | By admin | Category: News and CommentsOn Wednesday, the world stock markets there will be no dynamics. European indexes lost about 0,3% - 0,6% against the backdrop of weak corporate reporting, as well as on the background of output data from the U.S. on orders for durable goods. Sales in the primary housing market grew in July at 9.6%, with projections of growth only on 1,6%. As a result, U.S. stock indicators were opened in the positive zone, but the trade results showed neutral dynamics.
By today's opening of Russia's stock market was formed moderately negative background. Indices Asia-Pacific region are becoming cheaper to reports from China about a possible reduction of investment in some sectors of the economy, particularly in the production of steel and cement. At this news the oil continued to decline today, quotes, quotes of West Texas light crude oil (October contract) at 13.30 IST traded at around $ 71 per barrel. U.S. futures from the negative zone gradually moved into positive sector.
At this rather negative external background Russia's actions have opened decrease -0,8 %...- 1%. In the first hours of trading for most papers have yet to go to zero, however, a weak foothold in the oil reached levels not possible, paper and again passes into the negative zone. Exception to the general number of shares were Uralsvyazinform, which added 5.5% on the information to merge into a single regional telecoms telecommunications holding company.
In general, the paper continued to bargain on their local maxima, consolidating at the upper boundary formed bands. RTS Index is trading at around 1,077 points (a maximum of 1104.94), the MICEX index 1100 (maximum 1135). Active Trading today is low, the volume average. Ideas on the market available, and it is likely that before the makrostatistiki (16.30 IST to go the traditional data on unemployment USA) nothing interesting happens. The subsequent course of events is likely to be determined is the macroeconomic data.
Investors focused on the medium term - to hold long positions.
Investors focused on short-term - to hold long positions. If no long positions - to refrain from opening them up to the breakdown of local maxima of the indices.
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