Cyrrus (Cyrrus)
Markets  |  January 03, 2013 16:50:38

Pause before further growth?

Today's trading is still very quiet. After yesterday's significant growths caused by zooming out "fiscal Cliff" in the U.S. market only slightly corrected.

Most titles forfeited today that yesterday had the most growth (+5% Commerzbank yesterday, today -1%) and BMW (+4% yesterday, today -1%), etc. It is therefore only a technical correction from further increases?

Personally, I believe that the market is already heavily overbought. This does not mean that it must necessarily be significantly revised. The market may be vulnerable but in case of bad news. And how can such reports come?

Probably will take place during the April parliamentary elections in Italy. Another, much more acute, the problem, however, is approaching the new session to postpone the U.S. debt ceiling. Of local politicians have time until the end of February, then again it may fall from the fiscal cliff. Both of these phenomena may accompany nervousness.

Then there is still the plight of unemployment, whether in the U.S. or Europe. Constantly there is also a risk of recurrence "debt crisis", which would not that disappeared in the last year, only slightly at her emphasis was in the name of growth. The pretext for the correction but it is always good.

But I do not scare investors. Still, the trend of the market is growing and correction in sight. The recommendation is therefore still rather trade up. However, ensuring the portfolio against possible downturns consider the current level of the market as very important.

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