Grant Capital (Grant Capital)
Markets  |  August 23, 2012 22:07:47

How traded 23rd America 8th 2,012

On Thursday, the stock markets continued to decline, which this time helped weak macro data from China. Likewise, slightly weaker macro data regarding unemployment in the U.S. market too helped. The only positive was the PMI manufacturing index, which slightly exceeded expectations. The S & P 500 lost at the end of approximately -0.8%. Weak macro data and speculation about the next round of quantitative easing, further supporting the price of gold, which today rose nearly 2% to the price of 1672 USD per ounce. Conversely oil slightly corrected and ended over the price of 96 USD per barrel. Euro to dollar strengthened slightly again and the value of 1.2560.
Lost all sectors, most utilities that submitted -1.0%, pharmacy and health sector resisted and lost only -0.1%.

Gainer S & P 500:         Federated Investors, Inc.. (FII): +4.17%
Looser S & P 500:        Big Lots Inc.. (BIG): -22.48%

Top gainer:                 MER Telemanagement Solutions Ltd. (MTSL): +32.53%
Top looser:                 Big Lots Inc.. (BIG): -22.48%

Capital Grant model portfolio NVDA and sold coverovalo EXP. Shortovalo TIE and CAVM.
Details about the model portfolio, visit:

Společnost GRANT CAPITAL se specializuje na zprostředkování obchodů s akciemi na burzách v ČR a v USA. Pro více informací navštivte
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