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They are anxious for entry points, so they can rack up some performance before the end of the year. Many potential dip buyers missed out as we went straight up in October. Now that leaders in Greece and Italy have resigned and the countries are working to implement austerity measures, profit taking is setting in as investors reflect on the remaining obstacles ahead. It's almost too easy to make a bearish case for this market and, as a result, many market players have been underinvested and have underperformed. There is no question that Europe still has tremendous problems that won't be solved easily, and in the U. Everyone knows the negatives, yet we hold up well -- which causes buyers to step up out of fear of being left behind.

Now that leaders in Greece and Italy have resigned and the countries are working to implement austerity measures, profit taking is setting in as investors reflect on the remaining obstacles ahead.

Now that leaders in Greece and Italy have resigned and the countries are working to implement austerity measures, profit taking is setting in as investors reflect on the remaining obstacles ahead.

There is plenty to do if Europe is really going to be saved, as we have celebrated so many times recently. Market volume slowed sharply Monday as some mild selling set in, which is exactly what we want to see on a pullback. We are seeing a continuation of the pressure this morning as Italian bond yields tick back up, and there's mediocre economic news out of Europe. Overall, things are quiet so far, and there aren't any positive catalyst motivating the dip buyers to step up.

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The recent run-up in the market has caused much consternation for the bears, HDIL Trade indikaatorid are puzzled by how it is possible to ignore such obvious big-picture negatives. There is no question that Europe still has tremendous problems that won't be solved easily, and in the U.

What has helped the market is that the negatives are so big and so obvious. It's almost too easy to make a bearish case for this market and, as a result, many market players have been underinvested and have underperformed.

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As the market continues to work higher in the face of bad news, folks buy out of fear of being left behind and that's what holds us up. As I've been writing lately, the psychology at present is a classic wall of worry. Everyone knows the negatives, yet we hold up well -- which causes buyers to step up out of fear of being left behind.

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Many potential dip buyers missed out as we went straight up in October. They are anxious for entry points, so they can rack up some performance before the end of the year.

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While the news flow is gloomy, the overall technical pattern of the indices is not bad. We are pulling back on lighter volume after hitting some resistance, but we need to consolidate at this point.

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What I continue to find HDIL Trade indikaatorid challenging about this market is the difficulty of individual stock picking. We had a little relative strength in some big-cap momentum names yesterday, but there is no leadership and no major themes at work.

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The speculative money just isn't doing much other than trading overall market direction using exchange-traded funds. The very low volume yesterday is an added complication that I find worrisome.

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We have too much disinterest out there and that makes it tough to generate sustained momentum when the action improves. Too many market players are weary of this market and it makes for choppy and more volatile trading.

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We may have more downside in the near term, but IQ binaarsete valikute tuhistamine maintaining a generally bullish bias. I'll be looking for setups and entry points but if volume doesn't pick up it is going to be a challenge.

2.90 पैसे का शेयर 100+ देशों मे कारोबार TARGET = 790