The Banking and Strategy Initiative

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Tag Archives: “European Sovereign Debt Crisis”

IT’S MONDAY: A US Morning Report to break the silence (again) for growth and optimism

US this week – March 18, 2013 to March 24, 2013 It’s Monday – A US Morning Report on the weekly doo dahs.  We are a very serious follower of … Continue reading

March 18, 2013

Europe gets comfortable with new Banking caveat | Banking insight

Even as regulatory costs become part of a banking brand makeover especially in Big Bad London which is also holding out on Europe, the momenutum for credit has caught on … Continue reading

January 25, 2013 · 1 Comment

Global Moves: Draghi cuts ECB rate to 0.75%, US gets ready for Jobs report

The Dollar decline follows in Asia tomorrow after ECB cut rates and the Euro promptly breached 1.24 levels at the lower end before resuming tradin ga t 1.24 levels after … Continue reading

July 5, 2012

US Economy: Dull, weak, wait, Tired, May, Recovery??? Duh!

Case Schiller good news Tuesday for May 2012, would have equity markets in raptures throughout the day as the YOY change for the Seasonally adjusted data is just 2.8% below … Continue reading

May 29, 2012

US Economy: And finally the Dow takes a chance (Of May data and market correction)

With jobless claims coming down from a new 400,000 watermark in April and Existing home sales up 10% on last year  being good data enough to not upset any further … Continue reading

May 22, 2012

Gold, Silver finally moving on own steam | Commodities insight

Silver started a secular move up on Commodities exchanges in India about two hours ago soon after it hit rock bottom from its bull run of 2011 that was broken … Continue reading

May 9, 2012

European Sovereign Debt Crisis: Huh! what Spanish downgrades! – Rinse. Lather. Repeat.

The Global Economy should have roiled hen Monday began with saddening aannouncements from S&P and moodys’ in Spain. as many as 16 Spanish banks were downgraded following the contraction in … Continue reading

April 30, 2012

The Deal Economy and US Economic commentary from week of April 22 : Facebook listing to help the NASDAQ 100

The week past had a lot of misplaced Housing “crisis” data and Jobless claims data so you possibly did not miss much as I forced myself on a holiday.  As … Continue reading

April 29, 2012

European Debt Crisis: Lesser Non European customers, Italian 3-yr yields jump to under 4%

The morning stream of data knocked the winds out of the Europe watchers but sentiment still improved on basis of yesterday’s scare turning out to be a non starter. UK, … Continue reading

April 12, 2012 · 1 Comment

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