Investiční bankovnictví (Komerční banka)
World markets  |  16.4.2013 7:20:00

The rise in risk aversion Euro hurt


Global financial markets yesterday faced a strong rise in risk aversion after disappointing Chinese data: GDP for Q1 13, a slowdown in annual growth, although expected on the other hand was a slight acceleration of expectations remained the March industrial production and investment activity. In response, we have witnessed a significant sell-off in commodity and equity markets and increased demand "safe" instruments. The third day in a row strengthen the yen, which is then moved away from the psychological level of 100 JPY / USD. Rate of the euro against the dollar but not significantly react. Europe and America are facing their own problems. As a result, yesterday the euro slightly improved its position when the exchange rate was attacking level 1.3100 USD / EUR, still morning yet found at 1.3050 USD / EUR.

Today brings a series of important economic indicators. From Germany we will see the April ZEW index of investor sentiment. Our concern is rather significant decline in confidence. Afternoon U.S. data seems to bring a mixed picture. On the one hand, should continue favorable trends on the real estate market in the form of increasing the number of new housing starts and building permits issued. On the other hand, fear loss of growth momentum in U.S. industrial production.

Author: Jan Vejmělek

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