Stock Market News for July 5, 2011
The Dow Jones Industrial Average (DJIA) shot up by 168 points or 1.4% to end at 12,582.77. The Dow added more than 100 points for the fourth time in the week ending July 1 and the benchmark is now up 8.7% for the year. The Dow posted its best weekly gains since the 782-point increase during the week ending November 28, 2008. The Standard & Poor 500 (S&P 500) jumped 1.4% to settle at 1,339.67. The index is up 6.5% for the year. The Nasdaq Composite Index surged 1.5% to finish the day at 2,816.03. While the Dow and S&P 500 surged over 5.4% and 5.6%, respectively, for the week, the Nasdaq was up 6.2% and the gains ensured all these benchmarks registered their best weekly performance since July 2009. On the New York Stock Exchange, consolidated volumes were at 3.3 billion shares, with advancers beating decliners by 5 to 2. The markets may have eased into their fifth straight day of gains, but tight trading volumes leaves keeps alive apprehensions over the sustainability of the gains. On the New York Stock Exchange, Amex and Nasdaq, consolidated volumes were 6.2 billion shares, below the year's daily average of 7.55 billion. The nation’s manufacturing sector snatched the limelight thanks to a better-than-expected report that reflected a surge in manufacturing across the country. The Institute for Supply Management’s business index or the PMI jumped 1.8% in June to 55.3%. The index had come in at 53.5% for May and the jump in June came in ahead of the consensus expectation of 51.6%. A reading above 50 suggests a general expansion and fortunately the index has remained over 50 for 23 consecutive months. The natural disaster that struck Japan in March had disrupted supply dynamics. However, the higher reading for June now suggests a recovery in the nation’s manufacturing sector. Separately the U.S. Census Bureau of the Department of Commerce reported a decline in construction spending for May. The report stated: “that construction spending during May 2011 was estimated at a seasonally adjusted annual rate of $753.5 billion, 0.6 percent (±1.6%)* below the revised April estimate of $757.9 billion. The May figure is 7.1 percent (±1.8%) below the May 2010 estimate of $811.2 billion. Zacks Investment Research is one of the most highly regarded firms in the investment industry.Stock Market Sentiment - News
On the New York Stock Exchange, consolidated volumes were at 3.3 billion shares, with advancers beating decliners by 5 to 2. The markets may have eased into their fifth straight day of gains, but tight trading volumes leaves keeps alive apprehensions
Here are half a dozen reasons why one of the most impressive stock market runs may have ended: 1. Markets can't rise forever. This may be obvious to most people. A market that more than doubles in two years is a market which requires significant

Indian stock markets ended higher last week on bargain hunting by funds and traders. The gains were on expected lines as the Nifty index on the National Stock Exchange had bounced strongly in the previous week and was back in trading band with
The stock market certainly delivered some pre-Holiday fireworks with the Dow gaining 648 points to log its best week in approximately two years. The move came in response to “relief” over a Greece “solution” which we'll discuss in more
The listing is expected to break the IPO drought that has hit the NSE, with the last public share sale being the Co-operative Bank's December 2008 listing. Analysts say though the British American listing comes at a time when market sentiment is not
Tokyo's Nikkei index closed up 0.07% 5 | Finance online ...
Morning trade, while the previous trading day the London stock market, Tokyo Electric Power and other power stocks to be generally favored, and to some extent, regulate the market psychology, but because of the 4th U.S. markets closed, the lack of stimulating the stock market rises, coupled with In recent days against the backdrop of rising market to attract investors to take profit-taking action, making the stock car and motor and other main dish was red, green and staggered state. In addition, the credit rating agency Standard & Poor’s said 74 days as investors bear the loss, Greece, France’s debt rollover program will be considered “selective default”, but also constitutes a pressure on market sentiment, causing the Nikkei stock index ended the morning time into decline.
Entered after midday, although this week the U.S. stock market caused market sentiment, but China’s stock market strong, the yen fell against the U.S. dollar back to the relatively low 81 to 1, making the Tokyo stock market to resume its rally as of late. Close, the Nikkei index rose 7.37 points to close at 9972.46 points. Tokyo Stock Exchange stock price index rose 1.07 points to close at 865.18 points, or 0.12%.
Free Daily Stock Market Sentiment For 7-5-11 Posted -
$$ Stock Market Outlook for July 5, 2011 - Sentiment neutral, even after last week's rally $SPY $IWM $QQQ
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