But in 1996 the ANC alienated its two partners when it adopted a new a neo-liberal macro-economic policy, known as Growth, Employment and and Redistribution (Gear). The ANC’s national conference at Polokwane …
US Dollar (.DXY) Index fell 0.6% to 94.87. WTI Crude Oil (NYSEArca:USO) prices fell 2.3% to 58.32 bbl as demand concerns tied to the macro situation weighed. The financial stock sector (-2.4%) got hit hard, as Greek …
Live Trading News · 6/29/2015
Stock Indexes
including being named as a top-three stock picker in chemicals in 2009 and 2012 from StarMine/Thomson Reuters and The Wall Street Journal... More
The Wall Street Transcript · 7/2/2015
More from Bing News
At a time when the commodity outlook is uncertain, Shell's response to the macro backcloth has lacked caution and its ... Out of the 13 analysts covering the Shell stock, five rates it a Buy and eight rate it as a Hold. · 6/25/2015
With absolutely no change in macro economic indicators or important positive company news, China’s stocks started to climb. By Tuesday’s close, Shanghai Stock Exchange’s Composite Index was up 5.5% for …
Quartz · 6/30/2015
stock markets
RIL was the only stock pick in energy segment in Asia ... On HDFC Bank, Barclays said the bank was ideally placed to benefit from a macro recovery, owing to its strong low-cost deposit (CASA) franchise, clean …
NDTV · 7/1/2015
This is not a "call" on markets, but a rather a thought experiment on how investors tend to react with a lag to major macro news. By now, everyone has woken up to the idea that Greece may end up defaulting and …
Market Watch · 6/29/2015
market crash
The market turmoil has battered many investors over the past few years. But for stock pickers like Neuberger Berman LLC's David Pedowitz, it has made their entire investing approach feel like an exercise in futility. Mr. Pedowitz buys and sells stocks ...
Wall Street Journal · ByGregory Zuckerman andTom Lauricella · 9/24/2010
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 ...
Yahoo Finance · 9/27/2010
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 ... · 12/26/2012