The core reason for weak broader market upside
The core reason for weak broader market upside
U.S. stocks closed higher last night, continue to create a new rally high, but the A-share market remained unmoved, not only short-term performance has been weak, since 3478 the trend since the point is also weaker than the surrounding market. Tape currently hovering in the 60-day line position of not a few days before the trip, 60-day moving average of the pressure is really on you so strong? Tape delay behind the attack why they exist? “The Afternoon of Operation Tips”
First of all: contraction of liquidity and in February bearish economic data makes the policy side elusive. CPI in February because of the base causes of diving and holiday peak consumption zoom, the market psychology is even more cautious, which was reflected in stock prices on the more obvious. End in March, April will be baked in the first quarter economic data or the main concern of funds, so the tug of war can be seen short-term, especially in the disk after the morning shot up the final volume in the absence of shocks to follow up on the lower end can explain.
Second: the stage of stock index futures has raised funds will surface differences. With April approaching, stock index futures also continued to speed up the process, but as a benefit of the brokerage stocks, the recent trend has emerged to adjust, and successive main outflow of funds phenomenon, making their marketing dollars more speculation short-term market had more adverse effects.
Re: blue-chip blocks of short-term does not make a breakthrough as the delay. Despite the recent market activity in the elevated, but including real estate, non-ferrous metals, steel weight plates are trends in the doldrums, last Friday was only the start of the non-ferrous metal plate is short-lived, plus six months in the sensitive line and line position 60 days , with no weight plates is difficult to quickly occupied, and 3000 points along the historical accumulation of days with no small amount, so it will have a severe struggle, now so intertwined long and short, repeated the mixed see-saw situation still time test.
Immediately near the end of the first quarter, with the April economic data released, and the quarterly report and a gradual disclosure, the market will seek short-term direction of running, in 2009 most beautiful annual reports of listed companies and for the first quarter and are expected for the market operation or have a positive impact. Subject of active stock market is full of sentiment still make, if coupled with expectations of a close, the market direction will be few days to run clear.
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Several factors in the strong rebound index
The investment characteristics of foreign funds
Rend rose two core sections
Contrarian up a class of foreign funds
Breakthrough is conducive to market shocks important position
Funds and small cap funds do broader market comparison

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