Bing

THE QUOTE: "Traders and investors want clarity on the macro-economic environment and ... while the safe-haven yen stood atop large gains made overnight. ROUGH GOING: Stock markets have endured a torrid start …
Laurel Leader-Call · 1 day ago
Further, the company announced flat dividend, and said it is no longer appropriate to maintain the progressive dividend policy amid the significant deterioration in the macro-economic environment and the resultant market …
NASDAQ · 1 day ago
Dividend Policy
Overnight corn is mixed this morning, beans up 1 and wheat up 1-2. The world is still a pretty scary place. The stock market came back a little yesterday but still had a pretty bad day. This morning it continues its move higher with the S&P future up 20 ...
Agricul Ture · 26 minutes ago
Mumbai, Feb 11: Key Indian stock indices fell sharply on Thursday ... Overvalued emerging markets like India, has now started cracking under weight of weak macros and mean reverting. RBI has been quite active today.
India · 20 hours ago
stock markets
Most of the gain in USDJPY since the big Bazooka in October 2014 has now evaporated. Finally, let's take a look at the US stock market... Comment: Let’s “hope” that 1,800 points in the S&P 500 holds this week …
Trading Floor · 22 hours ago
CFO Steve Sordello indicated that management was surprised by the market’s reaction to the company’s 4Q results, while pointing out “the lack of fundamental change in the business in 4Q with the exception of the Bizo exit and a small shift in macro ...
Benzinga · ByMonica Gerson · 1 day ago
Make no mistake, GE stock is especially sensitive to the economic cycle ... and profits could go ignored in an ensuing bear market. The point is that current macro woes won’t last forever. It’s called a business …
Investor Place · ByDan Burrows · 25 minutes ago
General Electric
Stock pickers say macro forces began moving stocks in a big way during the 2008 financial crisis, and that has continued this year following the European debt crisis. Traders also are focusing on the potential for a double-dip recession to hit corporate ...
Wall Street Journal · ByGregory Zuckerman andTom Lauricella · 9/24/2010
2012 has of course yet been another year dominated by Macro, with wild swings in sentiment caused by the European debt crisis and the threat of Middle Eastern conflict. The “risk-on” vs. “risk-off” attitude of the market has been driving driving ...
stockopedia.com · 12/26/2012
The Greek stock market plunged to its lowest level for 25 years. "Combined with the global macro backdrop, with Chinese growth slowing down, there is a natural impact around the world and the banking sector is …
Senegal Actu · 1 hour ago
stock markets