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		<title>Introduzione al Forex</title>
		<link>http://forexitaliano.wordpress.com/2007/12/19/introduzione-al-forex/</link>
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		<pubDate>Wed, 19 Dec 2007 13:52:27 +0000</pubDate>
		<dc:creator>shor</dc:creator>
				<category><![CDATA[- NEWS in Italiano]]></category>
		<category><![CDATA[FOReign EXchange]]></category>
		<category><![CDATA[Guide informative]]></category>
		<category><![CDATA[Ask]]></category>
		<category><![CDATA[Bid]]></category>
		<category><![CDATA[Bid Ask]]></category>
		<category><![CDATA[Bid Offer]]></category>
		<category><![CDATA[Buy & Sell]]></category>
		<category><![CDATA[Concetti Base Forex]]></category>
		<category><![CDATA[coppia di valute]]></category>
		<category><![CDATA[EUR/USD]]></category>
		<category><![CDATA[Forex Italia]]></category>
		<category><![CDATA[forex online]]></category>
		<category><![CDATA[guida al forex]]></category>
		<category><![CDATA[opera nel Forex]]></category>
		<category><![CDATA[Trader]]></category>
		<category><![CDATA[USD/EUR]]></category>

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		<description><![CDATA[Il mercato FX Il mercato Forex, termine derivante dalla contrazione di Foreign Exchange, detto spesso anche FX, è il più vasto, liquido e trasparente mercato finanziario nel Mondo. Il volume d’affari medio supera 2 mila miliardi di dollari giornalieri, mentre l’insieme dei mercati azionari statunitensi non raggiunge il 3% del totale scambiato sul Forex. A [...]<img alt="" border="0" src="http://stats.wordpress.com/b.gif?host=forexitaliano.wordpress.com&amp;blog=2355632&amp;post=8&amp;subd=forexitaliano&amp;ref=&amp;feed=1" width="1" height="1" />]]></description>
			<content:encoded><![CDATA[<div align="center"><img src="http://www.geekissimo.com/images/forex-555.jpg" alt="forex" /></div>
<p></p>
<div align="justify"> <b>Il mercato FX</b><br />
Il <b>mercato Forex</b>, termine derivante dalla contrazione di <b>Foreign Exchange</b>, detto spesso anche <b>FX</b>, è il più vasto, liquido e trasparente <b>mercato finanziario</b> nel Mondo. Il <b>volume d’affari</b> medio supera 2 mila miliardi di dollari giornalieri, mentre l’insieme dei <b>mercati azionari statunitensi</b> non raggiunge il 3% del totale scambiato sul <b>Forex</b>. A differenza degli altri <b>mercati finanziari</b> dalla maggior parte dei quali si può trarre profitto solo quando sono in rialzo, nel <b>Forex</b> un <em>trader</em> può aprire simultaneamente una posizione <em>long</em> (di acquisto) su una valuta e <em>short</em> (di vendita) su di un&#8217;altra, il che significa che contrariamente ad altri mercati finanziari, il <b>Forex</b> offre opportunità di <b>guadagno</b> molto più numerose.</div>
<p></p>
<div align="justify"><b>Concetti di base</b><br />
L’operazione di <b>Foreign Exchange</b> consiste nel scambio simultaneo di una valuta in un’altra. Poiché le valute vengono scambiate in coppia per guadagnare su un determinato tasso di cambio si deve comprare la valuta che ci si aspetta in rialzo e vendere l’altra. Ad esempio se si crede che l’euro (EUR) aumenterà nei confronti del <b>dollaro</b> (USD) si dovranno comprare EUR/USD, in altre parole <b>compri euro</b> e <b>vendi dollari</b>. Al contrario, se si crede che l’euro arretrerà rispetto al dollaro allora si venderanno EUR/USD cioè <b>vendere euro</b> e <b>comprare dollari</b>. E’ chiaro che non è necessario aspettare che il mercato sia in rialzo per <b>guadagnare</b>; in qualsiasi momento una valuta cresce rispetto ad un’altra. Il <b>Forex</b> produce quindi continue opportunità di <b>investimento</b>.</div>
<p></p>
<div align="justify"><b>Chi opera nel Forex?</b><br />
Possiamo definire due categorie di <em>trader</em>: gli <b>hedgers</b> e gli <b>speculatori</b>. Tra i primi abbiamo alcuni enti governativi, società di import/export e investitori abitualmente esposti ad un “<b>rischio di cambio</b>”. Un andamento negativo tra la loro <b>valuta</b> rispetto alla <b>valuta estera</b> della controparte in affari (nello scambio di beni e servizi) può danneggiarli notevolmente. Questi rappresentano il nucleo del <b>Fx trading</b> benché costituiscano soltanto il 5% del mercato attuale.<br />
Poi abbiamo gli<b> speculatori</b>, un gruppo costituito da banche, fondi, società FOREX o privati che creano una esposizione artificiale in <b>valuta</b> per <b>trarre profitto dalle variazioni o dai movimenti di prezzo</b>.</div>
<p></p>
<div align="justify"><b>Coppie di valute</b><br />
Ciascuna <b>valuta</b> è indicata con una sigla di 3 lettere. Le <b>valute</b> sono scambiate in coppia e visualizzate come tali. La prima <b>valuta</b> visualizzata è quella “<b>base</b>” o “<b>guida</b>” o “<b>valuta primaria</b>”; la seconda si riferisce alla &#8220;<b>valuta secondaria</b>&#8220;. La “<b>coppia di valute</b>” è seguita da un numero, in genere composto da cinque cifre. Il numero rappresenta il rapporto di una <b>valuta</b> nei confronti di un’altra, e può essere letto come “l’ammontare della seconda <b>valuta</b> necessario per avere una unità della valuta principale”.</div>
<p></p>
<div align="justify"><b> Bid / Ask</b> o <b>Buy / Sell</b><br />
La <b>coppia di valute</b> è sempre seguita da due numeri, il primo ha un valore inferiore rispetto al secondo. La prima cifra è conosciuta con il nome di &#8220;<b>Bid</b>&#8221; o anche &#8220;<b>Sell</b>&#8221; (prezzo di vendita) mentre la seconda è nota con il nome di &#8220;<b>Ask</b>&#8220;, &#8220;<b>Offer</b>&#8221; o &#8220;<b>Buy</b>&#8221; (prezzo di acquisto). Il numero più piccolo <b>Bid (Sell)</b> rappresenta quel prezzo a cui è possibile vendere la valuta principale e comprare la valuta secondaria. Il secondo prezzo, <b>Ask (BUY)</b> rappresenta il <b>prezzo</b> con cui si comprare la <b>valuta principale</b> e vendere la <b>valuta secondaria</b>.</div>
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			<media:title type="html">forex</media:title>
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	</item>
		<item>
		<title>Introduction au Forex</title>
		<link>http://forexitaliano.wordpress.com/2007/12/19/introduction-au-forex/</link>
		<comments>http://forexitaliano.wordpress.com/2007/12/19/introduction-au-forex/#comments</comments>
		<pubDate>Wed, 19 Dec 2007 13:47:40 +0000</pubDate>
		<dc:creator>shor</dc:creator>
				<category><![CDATA[- NEWS en Français]]></category>
		<category><![CDATA[FOReign EXchange]]></category>
		<category><![CDATA[Guide informative]]></category>
		<category><![CDATA[arbitragistes]]></category>
		<category><![CDATA[dollars américains]]></category>
		<category><![CDATA[forex]]></category>
		<category><![CDATA[marché fx]]></category>
		<category><![CDATA[marchés financiers]]></category>
		<category><![CDATA[spéculateurs]]></category>
		<category><![CDATA[Vente et Achat]]></category>

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		<description><![CDATA[Le marché FX: Le marché des changes, aussi appelé &#8220;Forex&#8221; ou &#8220;marché FX&#8221; est le plus grand, le plus fluide et le plus transparent des marchés financiers au monde. La moyenne journalière des chiffres d&#8217;affaires a dépassée les 2 milliards de dollars américains. Si on additionnait toutes les bourses d&#8217;actions des Etats-Unis, on atteindrait à [...]<img alt="" border="0" src="http://stats.wordpress.com/b.gif?host=forexitaliano.wordpress.com&amp;blog=2355632&amp;post=7&amp;subd=forexitaliano&amp;ref=&amp;feed=1" width="1" height="1" />]]></description>
			<content:encoded><![CDATA[<div align="center"><img src="http://www.geekissimo.com/images/forex-555.jpg" alt="forex" /></div>
<p></p>
<div align="justify"><b>Le marché FX:</b><br />
Le marché des changes, aussi appelé &#8220;<b>Forex</b>&#8221; ou &#8220;<b>marché FX</b>&#8221; est le plus grand, le plus fluide et le plus transparent des marchés financiers au monde. La moyenne journalière des chiffres d&#8217;affaires a dépassée les 2 milliards de <b>dollars américains</b>. Si on additionnait toutes les bourses d&#8217;actions  des Etats-Unis, on atteindrait à peine 3% du volume total négocié sur le marché  <b>FX</b>. Au contraire d’autres <b>marchés financiers</b> dont la plupart des cas vous n&#8217;avez de <b>profit</b> que lorsque le marché est en hausse, dans le <b>Forex</b> on peut entrer simultanéement dans une position <i>long</i> (achat d&#8217;une devise) puis <i>short</i> (vente d&#8217;une devise). Donc les marchés <b>FX</b> offrent des occasions infinies de gain.</div>
<p></p>
<div align="justify"><b>Concepts de base:</b><br />
Le terme <b>Foreign Exchange</b> (Devises étrangères) signifie le transfert d&#8217;une devise en une autre devise simultanéement. Puisque les devises sont négociées en paires, il faut que vous achetiez la devise qui selon vous va se renforcer et vendre l&#8217;autre afin de profiter du mouvement du taux des changes. Imaginons par exemple que vous pensiez que l&#8217;<b>Euro</b> (EUR) va augmenter par rapport au <b>Dollar américain</b> (USD), il vous faudrait acheter la parité <b>EUR/USD</b>. En d&#8217;autres termes, achetez l&#8217;<b>Euro</b> et vendez le <b>Dollar</b>, et vice et versa dans le cas contraire. Comme on peut le constater, il ne faut pas attendre que le marché soit en hausse pour faire du <b>profit</b> puisqu&#8217;à n&#8217;importe quel moment une devise peut se renforcer par rapport à une autre. Le <b>Forex</b> produit donc des opportunités continues d&#8217;investissement.</div>
<p></p>
<div align="justify"><b>Qui négocie sur le marché des changes?:</b><br />
Les négociateurs en devises étrangères peuvent être divisés en deux catégories: les <b>arbitragistes</b> et les <b>spéculateurs</b>; entre les premiers on trouve quelques organisme du gouvernement, compagnies (import/export) et quelques investisseurs exposés au &#8220;risque du change&#8221;. Le mouvement négatif entre leur devise locale par rapport à la devise étrangère du groupe correspondant en business (échanges de biens et de services) peut les endommager considerablément. C&#8217;est le coeur de tout trading de devises étrangères, cependant il ne représente environ que 5%  du marché actuel.<br />
Ensuite nous avons les <b>spéculateurs</b> un groupe constitué de banques, fonds, societés ou particuliers qui créent des expositions de taux artificiels afin de profiter des variations ou des mouvements du cours.</div>
<p></p>
<div align="justify"><b>Les paires de devises:</b><br />
Chaque devise est reconnaissable grâce à un code de trois lettres.  Les devises sont négociées par paires et sont exposées comme telles.  La première devise fait référence à la &#8220;base&#8221;, la &#8220;principale&#8221; ou la &#8220;<b>première devise</b>&#8220;, la deuxième, elle fait référence à la &#8220;seconde devise&#8221;. La &#8220;paire de devises&#8221; est suivie d&#8217;un nombre qui comporte généralement cinq chiffres. Le nombre représente le taux d&#8217;une devise par rapport à une autre. Il s&#8217;agit en effet du &#8220;montant nécessaire à la seconde devise pour avoir une unité de la principale&#8221;.</div>
<p></p>
<div align="justify"><b>Bid et Ask ou Vente et Achat:</b><br />
Une paire de devises est toujours suivie de deux nombres, la valeur numérique de la première est toujours plus petite que la seconde. Le premier nombre est connu sous le nom de &#8220;<b>Bid</b>&#8221; ou &#8220;<b>Vente</b>&#8220;, le second sous le nom de &#8220;<b>Ask</b>&#8220;,&#8221;offre&#8221; ou &#8220;<b>Achat</b>&#8220;. Le petit nombre ou <b>Bid (Vente)</b> représente le prix auquel il est possible d&#8217;acheter la devise principale et acheter la devise secondaire. Le second prix ou <b>ask (Achat)</b> représente le prix auquel il est possible d&#8217;acheter la devise principale et vendre la devise secondaire.</div>
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		<title>Forex introduction</title>
		<link>http://forexitaliano.wordpress.com/2007/12/19/forex-introduction/</link>
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		<pubDate>Wed, 19 Dec 2007 13:42:54 +0000</pubDate>
		<dc:creator>shor</dc:creator>
				<category><![CDATA[- NEWS in English]]></category>
		<category><![CDATA[FOReign EXchange]]></category>
		<category><![CDATA[Guide informative]]></category>
		<category><![CDATA[currency]]></category>
		<category><![CDATA[financial markets]]></category>
		<category><![CDATA[forex]]></category>
		<category><![CDATA[hedge]]></category>
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		<description><![CDATA[About the FOREX Market: The Foreign Exchange market, which is usually contracted into the term to &#8220;Forex&#8221; or &#8220;FX markets&#8221; is the largest, most liquid, most transparent financial market in the world. Its daily average income exceeds 2 trillion USD, while the entirety of U.S. equity markets do not reach 3% of the total volume [...]<img alt="" border="0" src="http://stats.wordpress.com/b.gif?host=forexitaliano.wordpress.com&amp;blog=2355632&amp;post=6&amp;subd=forexitaliano&amp;ref=&amp;feed=1" width="1" height="1" />]]></description>
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<p></p>
<div align="justify"><b>About the FOREX Market:</b><br />
The <b>Foreign Exchange</b> market, which is usually contracted into the term to &#8220;<b>Forex</b>&#8221; or &#8220;<b>FX markets</b>&#8221; is the largest, most liquid, most transparent <b>financial market</b> in the world. Its daily average income exceeds 2 trillion USD, while the entirety of U.S. equity markets do not reach 3% of the total volume traded on the <b>FX market</b>. Unlike other <b>financial markets</b>, where generally one can only earn in rising movements, in the <b>FX market</b> whenever one enters into a position he is long (bought) one currency and short (sold) another currency simultaneously therefore, to the opposite of other <b>financial markets</b>, in the <b>FX markets</b> there are non-stop earning opportunities.</div>
<p></p>
<div align="justify"><b>Basic Concepts:</b><br />
The expression <b>Foreign Exchange</b> indicates the simultaneous transferring of one currency into another. Since currencies are traded in pairs, to profit from an exchange rate movement one has to buy the currency that it’s expected to raise and sell the other. For example, if Euro (EUR) is expected to increase against the dollar (USD) you would buy the EUR/USD; or in other words buy the EUR and sell the USD. Otherwise, if in your opinion the EUR is going to decrease against the USD then you would sell the EUR/USD; or sell the EUR and buy the USD. As can be seen there is no need to wait for a bullish market to profit, for at any given moment, one currency will be strengthening against another. The <b>FX market</b> is therefore constantly producing opportunities to invest.</div>
<p></p>
<div align="justify"><b>Who Trades in the FOREX Market?</b><br />
<b>Foreign exchange</b> traders can be categorized into two groups: hedgers and speculators.<b> Hedgers: governments</b>, companies (exporters and importers) and some investors have <b>foreign exchange exposure</b>. The <b>negative trend</b> of their local currency against the foreign currency of the group they are investing or having business with (for goods or services exchange ) will influence their bottom line. This is the centre of all <b>foreign exchange trading</b>; however it’s just about 5% of the actual <b>market</b>. <b>Speculators:</b> these group, which is composed by <b>banks</b>, <b>funds</b>, <b>corporations</b> and <b>individuals</b> – generates an <b>artificial rate exposure</b> in order to <b>realize profits</b> from the variations or movements in the <b>price</b>.</div>
<p></p>
<div align="justify"><b>Currency Pairs:</b><br />
Each <b>currency</b> is identified by a three letter code. <b>Currencies</b> are traded in pairs and are displayed as such. The first <b>currency</b> indicates the &#8220;base&#8221;, &#8220;leading&#8221; or &#8220;<b>primary currency</b>&#8220;; the second one refers to the &#8220;<b>secondary currency</b>&#8220;. The &#8220;<b>currency pair</b>&#8221; is at all times followed by a number; this is usually composed by five digits. The number represents the one <b>currency rate</b> against the other, and can be interpreted as &#8220;the amount of the <b>secondary currency</b> necessary to have one unit of the <b>major currency</b>&#8220;.</div>
<p></p>
<div align="justify"><b>Buy and Sell</b><b> or Bid and Ask :</b><br />
At all times two numbers are given after the <b>currency pair</b>, and the first one has always a <span>smaller numerical value then the second</span>. The first number is identified as the &#8220;<b>Bid</b>&#8221; or &#8220;<b>Sell</b>&#8221; and the second number is known as the &#8220;<b>Ask</b>&#8220;, the &#8220;<b>Offer</b>&#8221; or &#8220;<b>Buy</b>&#8220;. The smaller number or the <b>Bid (Sell)</b> represents that ideal value needed to sell the <b>major currency</b> and buy the <b>secondary currency</b>; the second number or <b>Ask (Buy)</b> corresponds to the price needed buy the <b>major currency</b> and sell the secondary.</div>
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		<title>Wall Street chiude in rialzo</title>
		<link>http://forexitaliano.wordpress.com/2007/12/19/wall-street-chiude-in-rialzo/</link>
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		<pubDate>Wed, 19 Dec 2007 13:24:50 +0000</pubDate>
		<dc:creator>shor</dc:creator>
				<category><![CDATA[- NEWS in Italiano]]></category>
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		<description><![CDATA[Gli indici statunitensi di nuovo in rialzo grazie all’annuncio diffuso riguardo un piano voluto da banche volto a stabilizzare il problema della liquidità del sistema bancario. Per quel che riguarda le imprese, General Electric mostra segnali di crescita progressiva soprattutto a seguito di un’attenta valutazione del proprio operato e dopo aver annunciato un progresso dell’11% [...]<img alt="" border="0" src="http://stats.wordpress.com/b.gif?host=forexitaliano.wordpress.com&amp;blog=2355632&amp;post=5&amp;subd=forexitaliano&amp;ref=&amp;feed=1" width="1" height="1" />]]></description>
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<div align="justify">Gli <b>indici statunitensi</b> di nuovo in rialzo grazie all’annuncio diffuso riguardo un piano voluto da <b>banche</b> volto a stabilizzare il problema della <b>liquidità del sistema bancario</b>. Per quel che riguarda le imprese, <b>General Electric</b> mostra segnali di <b>crescita progressiva</b> soprattutto a seguito di un’attenta valutazione del proprio operato e dopo aver annunciato un progresso dell’11% nei propri ricavi. In ambito sanitario la <b>Cooper</b>, leader nella fornitura di apparecchiature mediche, subisce un calo del 7% dopo la pubblicazione di un dossier trimestrale in cui i bilanci risultano nettamente inferiori alle attese.</div>
<div align="justify">Infine il colosso <b>Coca-Cola Enterprises</b> si attesta al 6% circa dopo aver volto al positivo le proprie prospettive di <b>guadagno</b> per l’esercizio in corso. Sul fronte dell’economia il <b>Dipartimento del Commercio</b> ha annunciato per il mese di Novembre un rialzo dei prezzi d’importazione del 2,7%, la progressione più alta registrata negli ultimi 17 anni e che supera comunque almeno del 2% rispetto ai pronostici degli stessi operatori. In parallelo lo stesso <i>Dipartimento</i> ha evidenziato che il <i>deficit commerciale</i> è avanzato a 57,8 miliardi di dollari a del mese di ottobre contro i 57,1 miliardi di Settembre e i 57,4 miliardi di <b>dollari</b> attesi proprio dagli <b>economisti</b>.</div>
<div align="justify">Sui <b>mercati valutari</b> il <b>dollaro</b> chiude la sessione in modo difforme mentre la <b>valuta europea</b> chiude la sessione in crescita, sopra l’1.47, a 1,4702 contro il precedente 1.4656. Lo yen perde terreno scendendo nuovamente sotto la soglia dei 111 yen, 111,89 yen per  dollaro contro i 110,69 di martedì. Sui mercati azionari i tassi registrano una contrazione a seguito dell’annuncio del piano di rifinanziamento a breve termine deciso dalle <b>banche centrali</b>. Il <b>mercato petrolifero</b> chiude la sessione in rialzo in seguito alla pubblicazione delle statistiche.</div>
<div align="justify">Il costo del <b>WTI</b> (West Texas Intermediate) al barile sul <b>New York Mercantile Exchange</b> chiude in rialzo e passa la soglia dei 94 dollari al barile, attestandosi a 94,39 dollari contro i precedenti 90,02 dollari.</div>
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		<title>Clôture en hausse pour Wall Street</title>
		<link>http://forexitaliano.wordpress.com/2007/12/19/cloture-en-hausse-pour-wall-street/</link>
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		<pubDate>Wed, 19 Dec 2007 13:20:48 +0000</pubDate>
		<dc:creator>shor</dc:creator>
				<category><![CDATA[- NEWS en Français]]></category>
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		<description><![CDATA[Une positivité retrouvée pour les indices américains surtout à la suite de l’annonce diffuse par différentes banques centrales d’un plan mirant à donner de liquidité au système bancaire. Pour ce qui concerne les événements des entreprises, il faut remarquer General Electric, en hausse surtout après avoir fait le point sur son activité et avoir annoncé [...]<img alt="" border="0" src="http://stats.wordpress.com/b.gif?host=forexitaliano.wordpress.com&amp;blog=2355632&amp;post=4&amp;subd=forexitaliano&amp;ref=&amp;feed=1" width="1" height="1" />]]></description>
			<content:encoded><![CDATA[<div align="center"><img src="http://www.geekissimo.com/images/bull.jpg" alt="bull" /></div>
<p></p>
<div align="justify">Une positivité retrouvée pour les indices américains surtout à la suite de l’annonce diffuse par différentes <b>banques centrales</b> d’un plan mirant à donner de liquidité au <b>système bancaire</b>. Pour ce qui concerne les événements des entreprises, il faut remarquer <b>General Electric</b>, en hausse surtout après avoir fait le point sur son activité et avoir annoncé une croissance de 11% de son dividende. Pour l’<b>industrie médicale</b> on assiste a l’écroulement de 7% pour l’équipementier <b>Cooper</b> après avoir publié un bilan trimestriel clairement inférieur aux attentes.</div>
<p></p>
<div align="justify">C’est <b>Coca-Cola Enterprises</b> que s’élève près de 6% après avoir revu à la hausse ses expectatives de gain pour l’exercice en cours. Du point de vu de l’ <b>économie le Département du Commerce</b> a informé que pour le mois de novembre on assistera à une augmentation des prix à l’importation de 2.7%, l&#8217;augmentation la plus haute enregistrée depuis 17 ans.   C&#8217;est plus que le 2% prévu par les analystes.</div>
<p></p>
<div align="justify">Conjointement, le même département a indiqué que le déficit commercial s’est fouillé à 57.8 milliards de dollars au mois d’octobre contre 57.1 milliards de dollars au mois de septembre et 57.4 milliards de dollars considérés par les <b>économistes</b>. Du côté du marché des changes, le dollar ferme la session en ordine épandu. La monnaie européenne ferme par contre la session en croissance, sur 1,47, à 1.4702 contre le précédent 1.4656.</div>
<p></p>
<div align="justify"><b>Le yen</b>, pour sa part, a subi un baisse et repasse sous la barre des 111 yens pour un dollar à 111.89 contre 110.69 mardi. Sur les marchés obligataires, les taux se contractent à la suite de l’annonce du projet de refinancement à court terme mis en place par les banques centrales. Enfin, le pétrole termine la séance en hausse après la publication des statistiques.</div>
<p></p>
<div align="justify">Le prix du baril <b>WTI sur le New York Mercantile Exchange</b> clôture en hausse et repasse au dessus de la barre des 94 dollars le baril à 94.39 dollars contre 90.02 dollars de la précédente.</div>
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		<title>Wall Street ended a positive session</title>
		<link>http://forexitaliano.wordpress.com/2007/12/19/wall-street-ended-a-positive-session/</link>
		<comments>http://forexitaliano.wordpress.com/2007/12/19/wall-street-ended-a-positive-session/#comments</comments>
		<pubDate>Wed, 19 Dec 2007 13:14:03 +0000</pubDate>
		<dc:creator>shor</dc:creator>
				<category><![CDATA[- NEWS in English]]></category>
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		<description><![CDATA[At last it seems that the major US indices sigh of relief has come today, following the announcement made by different institutions of a special concerted effort to inject liquidity into the financial markets. Among companies, General Electric shows a progressive growth after a careful evaluation of the activities and the announcement of a progressive [...]<img alt="" border="0" src="http://stats.wordpress.com/b.gif?host=forexitaliano.wordpress.com&amp;blog=2355632&amp;post=3&amp;subd=forexitaliano&amp;ref=&amp;feed=1" width="1" height="1" />]]></description>
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<p></p>
<div align="justify">At last it seems that the major US indices sigh of relief has come today, following the announcement made by different institutions of a special concerted effort to inject liquidity into the <b>financial markets</b>. Among companies, <b>General Electric</b> shows a progressive growth after a careful evaluation of the activities and the announcement of a progressive raise of  11% for its dividends. For the sanitary industry <b>Cooper</b>, leading company in medical equipment, have a loss of 7% after a fourth-quarter incomes report significantly below the <b>analysts forecasts</b>. It’s a remarkable success the one achieved by <b>Coca Cola Enterprises</b> which registered a raise of 6%, having boosted earning estimates in this year.</div>
<p></p>
<div align="justify">On the economic side the <b>Department of  Commerce</b> predicted a growth of 2,7% of the import prices in the month of November, that represents the highest  progression within 17 years and it’s 2% higher respect to the <b>analysts estimations</b>. The same Department stated that the trade deficit raised to 57.8 billion dollars in October against the 57.1 in September while the experts had predicted a deficit of 57.4 billions. On the currency markets <b>the dollar</b> ended again a chaotic session while Euro closed positively, with an increase of over 1.47, up to 1.4702 against the previous 1.4656.</div>
<p></p>
<div align="justify">The <b>Japanese yen</b> instead, shows a negative trend, moving back and decreasing below the point of 111, 111.89 per 1 dollar against 110.69 on Thursday. On the stock markets the rates showed a contraction after the announcement made by several banks of the upcoming financing plan on the short period. The oil market closes the session on the increase following the statistics publishing.</div>
<p></p>
<div align="justify"><b>The WTI barrel on New York Mercantile Exchange</b> grows over the 94 dollars per barrel, up to 94.39 dollars against the previous 90.02.</div>
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