Stratton Prague (Stratton Prague)
World markets  |  June 13, 2011 09:23:10

A brief summary of U.S. markets 10/06/11


Friday completed the pronouncedly negative trade balance of week, when the major indices closed in the sixth week minus territories. This U.S. markets hit the worst level since mid-March this year

On Friday, market sentiment improved indication of China's trade balance for May, which recorded a lower surplus of 13.05 billion U.S. dollars than it was expected to issue U.S. $ 18.6 billion mainly due to lower exports.On the contrary, the U.S. trade deficit rose less than expected (failure of Japanese exports).

CBOE Market Volatility Index (VIX) reached the level of $ 18.98, an increase of 6.7%.

Major U.S. stock indices enter into the next trading week with the following conditions: DJIA 11,951.91 points (-1.4%), Nasdaq Composite 2643.73 points (-1.5%) and SP 500 1270.98 points (-1, 4%). Range weekly decline as follows: DJIA -1.6%, Nasdaq Composite Index -3.3% and -2.2% SP 500.

The worst was the energy sector on Friday the 10 main sectors of the SP 500 and closed with a loss of -1.9%. Blue chips also fell as Exxon Mobil and Chevron.

Financial titles enjoy an aid by some that the Fed may at so-called "systemically Important Financial Institutions" required to hold additional capital cushions in the volume of 2.2 -2.5% instead of the previous considerations to the extent of 3%.

U.S. government bonds (treasuries) a revenue dropped when benchmark 10Y Note yield fell to 2.971% pa.

On commodity markets, crude oil traded on NYMEX on the course $ 98.87 per barrel and gold is the price of $ 1531.40 per troy ounce. The forex cross rates are EUR / USD at 1.4337 limit.

Today will not be reported by any macrodata.

Trading in Asia is as follows: Nikkei Average ended -0.70%, -0.15% HangSeng and the Shanghai Composite Index is -0.18%.

The value of U.S. futures in light plus and the DJIA +24 points, Nasdaq 100 and +2 points +2,80 SP 500 points.

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Stručné shrnutí US trhů 10.6.11

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