Cyrrus (Cyrrus)
Markets  |  January 17, 2013 17:15:12

High volatility in U.S. banks

Today's trading started very slowly without much movement. European markets opened slightly in the red. But the main event of the day came up in the U.S. pre-market - financial results for the last quarter of 2012 had reported two major U.S. banks. Specifically, at 13:00 Bank of America. Although the slightly exceeded expectations, but at the current very high regard for the results of a positive reaction were not enough. In the first moment lost its intraday 2% increase after the opening of markets in the U.S. fell by up to 4%. An hour later, Citigroup reported results. It failed in all respects and already in pre-market fell by 2%. After the opening of markets in the U.S. are falling by about 3%.

Interestingly, however, that although these two banks heavily forfeited, the U.S. market strengthens. The German DAX is coming out about 1% compared to the lows of the morning. The reason for these growth rates are positive data from the U.S. labor market.

My personal opinion is that the current level of the global indices last. Many investors certainly has in mind, how was the situation when the increase of credit in the U.S. in August of 2011. Markets rose the last moment, but after successfully increased credit line fell by about 25%. I believe that investors will be more cautious this time and I think now we can wait for correction before any increase in credit limit. In addition, begin to multiply speculation that the U.S. could lose its AAA rating from Fitch.

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