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(RTTNews) - após o movimento muito maior do que a sessão anterior, estoques tendem a retornar para o lado negativo no comércio de início na quarta-feira. Futuros grandes índices estão atualmente em uma abertura dos mercados consideravelmente menores, com os futuros de Dow apontando para baixo por 105 pontos.
Decepcionante dados económicos contribui para o impulso para o declínio das existências, com um relatório do Federal Reserve de Nova York, mostrando que as condições para os fabricantes de Nova York inesperadamente se deteriorou durante o mês de Junho.
O Fed de Nova York, disse seu índice de condições de negócios retiradas de um 7. 8 negativos em Junho um 11,9 positivo em Maio, com uma leitura negativa indica uma contração na atividade de produção regional. Economistas esperavam que o índice a subir por uma leitura de 14,0.
Com a diminuição do inesperado, as condições gerais de negócios índice virou negativas pela primeira vez desde novembro de 2010.
Um relatório separado do Ministério do trabalho mostraram um aumento de preços no consumidor inesperado, em Maio, apesar de uma queda dos preços da energia.
O Ministério do trabalho declarou que seu índice de preços aumentaram 0,2% em Maio, após um aumento de 0,4% em Abril. Economistas estava esperando para futuro preço inalterado em relação ao mês anterior.
O índice de preços de consumidor de núcleo, que exclui os preços dos alimentos e da energia aumentados 0,3% em Maio, o maior aumento desde Julho de 2008. Economistas esperavam um aumento de 0,2% no preço de base.
Preocupações sobre a atual crise financeira na Grécia também podem gerar as pressões de venda, como os Ministros das finanças da região não conseguiram chegar a um acordo sobre a extensão de uma segunda rodada de ajuda financeira para o país conturbado em dívida.
Negociação na quarta-feira também ser afectada pela publicação do relatório da Reserva Federal sobre a produção industrial em Maio. O relatório, que deve ser publicado às 9:15 e está previsto para mostrar que a produção aumentada em 0. 2 por cento após a sua chegada em inalterado no mês anterior.
Além disso, a nacional Association of Home construtores é programado para liberar seu relatório sobre a confiança dos construtores de junho às 10 p.m. et. O índice de confiança construtora deve permanecer inalterado em uma leitura de 16.
Existências mostraram uma jogada forte aumento durante a negociação na terça-feira como comerciantes recolhidos em níveis reduzidos após a recente fraqueza nos mercados de ações. Flexibilização das preocupações sobre a panorama econômico global também contribuiu para o rali em Wall Street.
As maiores médias deram a terra em cima da muro, mas ainda terminaram o dia fortemente positivo. O índice Dow Jones avançada por 123.14 ou 1% de 12,076.11 pontos, o Nasdaq subiu 39.03 pontos, ou 1,5% para 2,678.72 e o & S P 500 subiu 16,04 pontos, ou 1,3% para 1,287.87.
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9 Unidades populacionais Jim Cramer é otimista sobre
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9 Stocks Jim Cramer Is Bullish About - Seeking Alpha See the difference! Customize Seeking Alpha: Sign in or join var ms_slug = 'ups,hot,via.b'var article_dashboards = '@investing-ideas@'var article_sectors_themes = '@quick-picks-lists@sa-exclusive@'var ratings_hash={}var mone_article_tags = "{emr,esv,fcx,ng,ibm,sny,hot,usb,jpm,via.b,ups};;;{};;;{quick-picks-lists};;;{insider-monkey}" var ord = Math.floor(Math.random()*1000000000);Seeking Alpha Home | Market Currents | Long & Short Ideas | Investing for Income | ETFs & Portfolio Strategy | Macro View | Earnings Center | Investing Tools function decide_which_hp() { if (readCookie('user_email') && (/@seekingalpha.com/.test(readCookie('user_email')))) { top.location.href = '/new_hp'; } else { top.location.href = '/'; } }
9 Stocks Jim Cramer Is Bullish About 2 comments | by: Insider Monkey June 15, 2011 | about: EMR, ESV, FCX, HOT, IBM, JPM, NG, SNY, UPS, USB, VIA.B Font Size: Print Email Recommend0 Share this page Share SeekingAlpha.Initializer.AddAfterLoad(init_facebook); SeekingAlpha.Initializer.AddAfterLoad(init_linkedin); twittememeFrame(window.tweetmeme_style== "compact" ? "85x20": "50x61"); Jim Cramer is one of the top watched TV personalities on CNBC. He is the host of Mad Money and also the co-founder and chairman of TheStreet.com. Nearly two hundred fifty thousand people watch his show daily on TV and most of these are ordinary investors trying to understand what’s going on in the market. Jim Cramer’s bullish and bearish stock picks on his show are the starting points for many investments made by these folks. Cramer makes several bullish calls in his show but he only buys a small proportion of these stocks for his charitable trust.
Here are the stocks Jim Cramer recently purchased for his charitable trust:
Company
Ticker
No. of Hedge Funds
Value (x1000)
Emerson Electric
(EMR)
34
785,293
Ensco Plc
(ESV)
39
1,712,122
Freeport McMoran
(FCX)
37
1,405,449
IBM Corp
(IBM)
37
2,473,693
Sanofi Aventis
(SNY)
19
955,448
Starwood Hotels
(HOT)
18
425,886
U.S. Bancorp
(USB)
36
3,137,196
Viacom Inc
(VIA.B)
46
3,441,414
United Parcel Service
(UPS)
31
1,152,301
Viacom is one of the most popular stocks among 30+ hedge funds we are following. Finally, Cramer agrees with the hedge funds and bought VIA-B for his charitable trust.
Glenview Capital’s Larry Robbins said:
We like the stability and growth of cable networks based upon the growing and recurring nature of affiliate fees, and we are in the recovery phase of ad spending coming off of the 08/09 recessionary pullback… the business remains highly cash generative with free cash flow equal to approximately 110% of net income.
Glenview likes Viacom because of its share buybacks. Robbins believes that’s the best way for Viacom to deploy its excess capital. Eric Mindich’s Eton Park, Chris Hohn’s Childrens Investment Fund, and Chase Coleman’s Tiger Global are extremely bullish about Viacom too.
U.S. Bancorp is one of the few banking stocks Cramer is bullish about. Considering that Cramer just sold his JP Morgan (JPM) shares in his charitable trust’s portfolio, he must be really bullish about USB. Warren Buffett, Andreas Halvorsen’s Viking Global, and Stephen Mandel’s Lone Pine Capital also like USB.
Last week Cramer said the following about Novagold (NG):
I feel burned on NG. I thought it would trade up along with gold...the gold stocks have been terrible. NG has been worse than terrible...They want gold now in the ground. I bought some and sold some. It is an admission of defeat. This one did not work for me.”
He recently added Freeport McMoran to make up for NG’s shortcomings. FCX has a higher correlation with gold prices than NG. There are several prominent fund managers who are also bullish about FCX. Ken Fisher has more than $700 million in FCX. Jeffrey Vinik, Jim Simons, and Richard Chilton also have FCX in their portfolios.
Investors who like Jim Cramer’s stock picks should focus on the stocks he recently added to his portfolio. These are fresher ideas than the stocks he has been holding for a very long time.
Disclosure: I have no positions in any stocks mentioned, and no plans to initiate any positions within the next 72 hours.
This article is tagged with: Long & Short Ideas, Quick Picks & Lists
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ricksteph Comments (95) Isn't FCX mostly a copper play, so why would anyone buy it to replace a gold miner?
Alex Bernstein Comments (84) I lost a lot of money buying NG, because of Cramer's advise. I still believe in the story. In the past year, Cramer dumped Qualcom, BP, which worked out fine after his "sell" recommendation. I believe that he lacks a conviction. As soon, as hedge funds reduced their positions in NovaGold, he bailed out, even though the company fundamentals did not changed a bit. Now I will follow NG on my own. add_article_actions = 1; top_commenters_array = []; add_comment_actions(); write_report_abuse_all_in_one(); SeekingAlpha.Initializer.AddAfterLoad(link_edit_user_profile); comment_create_edit_link(); new_comment_on_comments_page(); Load All Comments reply_to_comment('Article_274955',"") mark_new_comments_if_tracking_source(); var comment_ids = []; new Ajax.Request('/memcached/comments_rating_by_discussion_id/247682', { evalScripts:true, method: 'get', onSuccess: function(response) { response.responseText.evalScripts(); comment_ids.each(function(id){writeRatingFromHash(id);}); }, onFailure: function() { } }); var author_info_popup_timeout; function ShowAuthorInfo(){ if (author_info_popup_timeout) clearTimeout(author_info_popup_timeout); $('article_author_info').style.display = "block"; } function HideAuthorInfo(){ author_info_popup_timeout = setTimeout(function() { $('article_author_info').style.display="none";},400); } function clearAuthorInfoPopupTimeout(){ if (author_info_popup_timeout) clearTimeout(author_info_popup_timeout); }
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segunda-feira, 13 de junho de 2011
Eu vi na TV, em 10 de Junho 3 unidades populacionais
Todas as manhãs, Dan Fitzpatrick at RealMoney.com, fala de três unidades, ele viu ontem à noite em "dinheiro rápido" e "mad money" e dá suas impressões sobre como os investidores podem usar essas idéias para crescer o seu dinheiro. Intercâmbio de boa, disse ele, é mais do que apenas escrito para baixo de aparelhos de tele-impressão vistos na TV e soco o botão comprar na manhã seguinte. Hoje os estoques são Hewlett Packard, máquinas de Titan e Sprint.
Fitzpatrick, disse que é hora de começar a construir uma posição na Hewlett Packard. Ontem à noite em dinheiro rápido, Anthony Scaramucci previu que ao longo dos próximos 12 meses, a HP pode ser um estoque de US $ 80. "Quando um cara tão inteligente como Scaramucci chamado um estoque de US $35 um estoque de US $80, que obtém minha atenção digite e, portanto, eu teria certamente ser inclinado para a compra deste estoque agora", disse Fitzpatrick. Fitzpatrick recomendado a estação de trabalho para a faixa de US $ 35, agora é comércio e possivelmente comprar novamente se ele está indo para baixo. Mas ele disse não em média mais de um. Em vez disso, ele recomenda aguardar até que o estoque funciona para o comerciante antes de ir.
Noite de quinta-feira, Jim Cramer entrevistado máquinas CEO de Titan, David Meyer. Ele disse que ele ama o estoque, o que representa um aumento de mais de 12 por cento quinta-feira. No entanto, Fitzpatrick adverte contra o que não é uma ação que ele quer precipitar, porque ela foi apresentada no show. Depois de uma retirada, ele acha que o estoque será inferior a US $30, que é um ponto a considerar quanto tempo em Titan.
Cramer também discutida com o Presidente e CEO da Sprint e apesar das refere-se sobre a fusão da AT & T-T-Mobile, Fitzpatrick acreditava que a Sprint será de propriedade. Depois de ter lutado bater as marca de 5 dólares no ano passado, o estoque é atualmente o comércio acima este ponto. O Sprint, diz, é um movimento para aumentar após ter perfurado de uma base bastante longa, sustentada. Mas Fitzpatrick adverte contra a compra deste estoque em um renascimento, preferindo esperar um dia quando o estoque está baixo, escalando a próxima retomada na íntegra.
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sexta-feira, 10 de junho de 2011
5 Unidades populacionais em elevações de 52 semanas
terça-feira, 7 de junho de 2011
Energia solar, a chave de valor Japão-3 unidades populacionais Soar
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Solar Energy Set to Soar in Japan - 3 Key Stocks - Seeking Alpha .go-next a { color:#024999 !important; } See the difference! Customize Seeking Alpha: Sign in or join var ms_slug = ''var article_dashboards = '@investing-ideas@'var article_sectors_themes = '@quick-picks-lists@'var ratings_hash={}var mone_article_tags = "{shcay.pk,kyo,pc};;;{};;;{quick-picks-lists};;;{martin-peter-roth}" var ord = Math.floor(Math.random()*1000000000);Seeking Alpha Home | Market Currents | Long & Short Ideas | Investing for Income | ETFs & Portfolio Strategy | Macro View | Earnings Center | Investing Tools
Solar Energy Set to Soar in Japan - 3 Key Stocks by: Martin Peter Roth June 6, 2011 | about: KYO, PC, SHCAY.PK Font Size: Print Email Recommend0 Share this page Share SeekingAlpha.Initializer.AddAfterLoad(init_facebook); twittememeFrame(window.tweetmeme_style== "compact" ? "90x20": "50x61"); The Japanese Prime Minister's recent dramatic announcement that Japan would halt - at least for the time being - its nuclear expansion plans, provides a dramatic boost to renewable energy.
Until March's devastating earthquake, tsunami and nuclear meltdown, the government had plans for a steady increase in the number of nuclear plants in Japan, from the present 54.
Nuclear energy was expected to provide half the country's power needs by 2030, up from around 30 per cent in early 2011, when all plants were fully operational.
According to the Prime Minister's announcement, the percentage of renewable energy in the total power mix will more than double to 20 per cent by around 2021.
In fact, as I have already written, if you exclude hydroelectric power, only about 2-3 percent of Japan's present energy needs derive from renewable needs. So the increase over the coming 10 years is set to be huge.
The Prime Minister put the emphasis on solar energy, a sphere in which Japan already excels. He noted that solar energy should cost one third of what it does now by 2020, and one sixth of the present price by 2030.
Until 2004, Japan was the largest solar market in the world, although an easing of government subsidies saw it being overtaken by Germany.
At the end of 2010, Japan had an installed solar capacity of 3,622 MW, according to the European Photovoltaic Industry Association (EPIA), placing it third in the world behind Germany and Spain.
The EPIA had been forecasting that this figure would rise to as high as 12,650 MW by 2015, and around 28,000 MW by 2020. But these figures now look very conservative.
Unfortunately, investors in the West looking to profit from accelerated Japanese moves to solar energy will find their choices limited.
Most of the key companies are large, and solar energy is not their main business. In any case, not all are listed on US stock exchanges, so buying the shares may not be easy.
But having said all that, this theme is powerful, and even the large corporations should over the coming decade see a significant boost to profits.
Three Japanese companies - Sharp (SHCAY.PK), Kyocera (KYO) and Sanyo [now Panasonic (PC)] - are among the global pioneers in solar energy, and they remain among the world's largest producers of solar cells, although in recent years they have been losing ground to low-cost Chinese rivals.
Sharp Corporation initiated solar research in 1959 and just two years later introduced a solar-powered transistor radio. Today it is the Japanese leader, although in the year to March 2011, solar business was responsible for only about 10 per cent of the company's total sales of around $34 billion.
In September 2010, it announced that it had developed a solar cell with a 42.1 per cent efficiency, the highest in the world.
It said its target was to develop by 2014, a cell with 45 per cent efficiency, and one with 50 per cent efficiency by 2025.
Kyocera Corporation is second in Japan behind Sharp in solar cells, and is ranked around 10th in the world.
In the year to March 2011, its Applied Ceramic Products division - largely solar energy business - produced 600 MW of solar cells and was responsible for about 17 per cent of the company's total $15 billion in sales.
Panasonic Corporation acquired a majority stake in Sanyo in December 2009, thanks to Sanyo's pioneering work in solar energy, and also for the company's leadership position in lithium ion batteries.
Panasonic has said it plans to invest more than $1 billion in expanding its newly acquired solar business, with the goal of becoming one of the world's three largest solar cell manufacturers by 2015.
Panasonic has also said that its aim is that energy-related revenues should comprise around one third of total sales by 2018, when the company celebrates its 100th anniversary.
Disclosure: I have no positions in any stocks mentioned, and no plans to initiate any positions within the next 72 hours. This article is tagged with: Long & Short Ideas, Quick Picks & Lists
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About the author: Martin Peter Roth
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terça-feira, 31 de maio de 2011
Unidades populacionais da Malásia passíveis de reclamar de nível 1 550 - ponto
(RTTNews) - a bolsa da Malásia agora terminou em quatro sessões de reto, mais de 20 pontos ou 1,3% ao longo da rota de escalada. Em Kuala Lumpur índice composto terminou logo abaixo do planalto de 1 550 ponto, e agora os analistas são Previsão de apoio permanente para a abertura do comércio segunda-feira.
Previsões globais para os mercados asiáticos são positivas com uma recuperação dos preços das commodities existências e geralmente bons dados econômicos dos Estados Unidos. Espera-se que os estoques de ouro e petróleo a dianteira, enquanto as demonstrações financeiras e as empresas siderúrgicas também poderiam fornecer suporte. Subsídios europeus e nós firmemente mais concluído sexta-feira, e os mercados asiáticos também são esperados para seguir.
O KLCI terminou modestamente mais sexta-feira como ganhos entre ações financeiras e estoques de plantações foram contaminados pela suavidade de problemas industriais.
Para o dia, o índice adicionado 7,75 pontos ou 0,50% final em 1,548.69 após negociação entre 1,543.21 e 1,549.96. Volume foi de 947.812 milhões de ações pena Malaysian 1.689 bilhões. Existem 464 perdedores e 314 vencedores.
Entre os ativos, Tenaga Nasional, Genting Malásia, Hong Leong Bank, Genting e IOI Corporation terminaram superior, enquanto grupo de EPS e produtos que químicos Petronas terminou mais baixo.
A liderança de Wall Street é bastante otimista como existências movidas geralmente superior sexta-feira, com os comerciantes que reagem positivamente a um lote misto de dados econômicos. Mercados continuaram a recuperar da liquidação no início da semana, embora a actividade comercial foi relativamente moderada antes do fim de semana de férias. A força dos mercados foi em parte devido a uma mudança para cima por stocks de recursos, que mudou-se mais com os preços das commodities.
No plano económico, o departamento do comércio divulgou um relatório antes do início do comércio mostrando continuado aumento na renda pessoal e despesas para o mês de Abril. Renda pessoal aumentou 0,4% em Abril, corresponde ao aumento observado em cada um dos dois meses anteriores. Despesas pessoais também aumentada 0,4% em Abril, após um aumento de 0,5% em Março. No entanto, quando factoring o recente aumento dos preços, a renda foi quase inalterada e gastos mostraram apenas um modesto aumento.
Um relatório separado da Reuters e a Universidade de Michigan mostrou que uma revisão para o aumento notável os consumidores pode indexar. Revisto para cima o índice para uma leitura da leitura preliminar de 72,4 74,3.
Durante este tempo, a National Association of Realtors divulgou um relatório mostrando muito mais acentuada do que o declínio esperado na pendência de vendas em Abril, com incomum, suave clima económica adicionando aos problemas actuais do mercado imobiliário. NAR diz pendentes home índice de venda mergulhou de 11,6% em Abril, após um aumento de 3,5% em curva revisto em Março. Economistas esperavam pendente vendas bordo abaixo de 1% de 5,1% relataram o aumento relativamente ao mês anterior.
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