Grant Capital (Grant Capital)
Markets  |  January 18, 2013 22:25:35

U.S. Markets - recap the past, 3 week, and the outlook for the week from 21 First

This week's events:

In the third week of continued earnings season and especially the results of large banks. On Wednesday, JP Morgan published the results, which they did not respond too much, and Goldman Sachs, which in turn helped to better results několikaprocentnímu growth. Thursday's results of Bank of America and Citigroup vice versa disappointed.Friday's report GE results indicated that the industrial sector could come up with positive results. GE on Friday, adding approximately 4%. Macro data this week, both positive and negative. To become one of the better developments in retail sales, a lower number of new applications for unemployment benefits, or the number of housing starts home. Too was not happy Philadelphia Fed manufacturing index, or index of consumer confidence.
Crude oil strengthened last week after an unexpected reduction in its inventory with expected growth. Oil ended the week at the price of about 96 USD per barrel. Gold in the past week also bettered the price of 1684 USD. Pair EUR / USD has evolved with the conclusion side trend values ??near 1.33.
In terms of sectors, managed services, with growth of 1.7%, while the technology lost -0.5%.
Technically, the S & P 500 was above its peak last year and got to their 5 year highs.

Events next week:

In the next week we expect the results of technology companies, such as Verizon, AMD, Google, Microsoft, Apple and others. As far as the macro data, the following week is relatively poor. Macro data will largely relate to the real estate sector.
A complete overview of the expected macro data can be found at

Model portfolio:

In 3rd week model portfolio Grant Capital bought SSRI and ABX. CHK sold, PSX, INTC. Furthermore shortovalo coverovalo and JCI.
Details about the model portfolio, visit:

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US trhy – rekapitulace uplynulého, 3. týdne, a výhled na týden od 21. 1.

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