If reporting Goldman Sachs and Citigroup and showgirl in the U.S. will exceed expectations, then the markets will go up again

At Russia's stock market is profit-taking, the dynamics about the same as that observed the day before. However, if the day before it erupted into serious decline, now at very high volumes of sales are accurate in most papers. Apparently, those levels that have been formed, has already attracted some big funds that come out of Russian stocks.

In today's trading, I would note paper Gazprom Neft, which was a technical removal. We saw him on almost 190 rubles - a historical maximum. Gazprom Neft - the only paper among the liquid, which reached its historical maximum. More precisely, the historical maximum was190 rubles, up to now have not reached that mark just 13 cents. Since then, however, the company's stock has fallen by 10 rubles.

The pressure in the papers VTB (-2%), shares of the bank day after day, to feel a bit worse than the market.

In principle, all chips are fixing. Papers Gazprom tried morning show something positive. We may assume that if in the coming days there will be growth in the market, more likely, then, it most likely will come from Gazprom, because the action of the gas giant will buy in order to move the index up, as this is the most consequential paper . Therefore, demand for Gazprom in the coming days may continue.

There is a regular fixation of generations, because the paper has grown at not very positive background. Long-term market power was moved to the next year, but the generation who bought something, now it is corrected. Also after yesterday's telecom growth adjusted.

Indefinite today creates a background paper reporting Goldman Sachs and Citigroup, which will be held at 15:30 and 16:00 Moscow time, respectively. Also today released a block of statistics in the U.S. from 16:30 to 18:30 Moscow time, including oil and petroleum products.

All of the major factors go in the afternoon, and now we are seeing profit-taking after a fairly strong increase in the previous day. This is accompanied by high volumes, which are characteristic of the market in recent days. Let's wait what will come of reporting and statistics. If it is exceeding expectations, it is likely that this small correction would be redeemed, and the markets will go up again. If some factors will be negative or a par with expectations, the fixation may continue and lead to some more serious correction. But, again, in the coming days, probably all the correction will be bought, then there will not be a serious decline. Just a lot of factors that could affect investor sentiment: tomorrow and next week will be published corporate reports in the U.S., so it is unlikely that such a background will be some strong decline. Most likely, we will see a partial profit-taking, then the growth resumes.

The fact that a number of players in such amounts out of the market suggests that the peak of the market not too far off, and in the medium term in the next few weeks, we might expect a more serious subsidence. And the current term - correction, most likely, will be purchased.

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