Josef Stoulil (Capital Partners)
World markets  |  October 04, 2010 11:48:02

U.S. futures on October 4, 2010: Introduction of the week yet more correction



Introductory session of October, although on Friday in the U.S. managed to push into positive numbers at the end, mainly due to the prevailing rather better results macrodata and rising commodity prices. However, the week-long performance index was slightly negative.

Monday's session so far goes to negative opening, when European markets traded in the red. Dramatically increased the global terrorist threat again, and in particular European region is supposed to be the target target.In particular, France has increased its level of terrorist threat and the CAC 40 index is in minus territory. But other European indexes have been an opportunity for sales.

U.S. markets will now have a calendar program, according to economic macrodata following items: corporate orders for August with exp. -0.4%, Rozjednané home sales for August month with exp. +2.8% And +0.9% yoy.

The primary outcome events of this week but will be Wednesday's ADP Employment (number of jobs in the private sector) and Friday's nonfarm Payrolls and total unemployment. This is also necessary to add the start of the season (earnings season) for 3.Q.   and as usual will have a "kickoff" firm Alcoa, this time on 7 October after hours.

Chinese Premier Wen Jiabao said that China will continue to buy Greek government bonds, when the country will re-sell, then prime minister promised to loan $ 5 billion to allow Greek shipping companies buy Chinese ships.

On commodity markets, the situation is as follows: NYMEX WTI crude oil is $ 80.86 per barrel and gold is the price of $ 1316.50 per troy ounce. The forex cross rates are EUR / USD at 1.3684 limit.

Current futures markets rather reflect the mood to drop, when the DJIA -45 points, Nasdaq -10.25 100 SP 500 points and -6.20 points.

CAPITAL PARTNERS as

J. Stoulil

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