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By Rod David |
September 27, 2012
Price action may offer clues to whether Thursday's rally was a correction amid a downtrend or the start of a new leg higher.
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By Rod David |
September 25, 2012
If two-week old highs will be retested anytime soon, then Tuesday’s sell-off must be rejected without delay.
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By Robert McCurtain |
August 31, 2012
Short-term vulnerability was amplified Thursday when major indexes suffered modest losses.
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By Robert McCurtain |
August 29, 2012
Major indexes post fractional gains Wednesday on continuing lighter activity exacerbated by the pre-holiday lull.
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By Robert McCurtain |
August 29, 2012
If the recent rally is legitimate and has more room to go on the upside, technical indicators will need to confirm.
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By Robert McCurtain |
August 27, 2012
Ongoing negative divergence by a key technical indicator in face of market strength reflects that smart money has been exiting, if not simply avoiding, equities on net basis.
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By Robert McCurtain |
August 26, 2012
Weekly Review: Last week may have signaled an end to the recent rally. While only the Dow displayed a key reversal technical signal, all major indexes were negative on the week.
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By Keith Campbell and Howard Mustoe |
August 23, 2012
HSBC Holdings Plc’s credit rating outlook was cut by Standard & Poor’s, which questioned whether the lender is too big to be managed effectively.
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By Robert McCurtain |
August 22, 2012
Technical pattern in most major stock indexes suggest the end may be near for recent stock market gains.
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By Bob Van Voris and Patricia Hurtado, Bloomberg |
August 20, 2012
Moody’s Corp. and Standard & Poor’s lost a bid for dismissal of fraud claims in a suit by investors claiming the companies falsely assigned inflated ratings to notes sold by Morgan Stanley that were backed by subprime mortgages.