With economic activity and international trade slowing quickly, companies were suffering reduced cash flow and needed to borrow more US dollars. The tighter US dollar liquidity that ensued weighed on the markets.
THIS past week, I lowered my exposure to US stocks by redeeming some units in a fund. The steep rise in the market from its March lows, even as corporate profitability is worsening, seemed too good an opportunity to pass up.
Vi har sammanfattat den här nyheten så att du kan läsa den snabbt. Om du är intresserad av nyheterna kan du läsa hela texten här. Läs mer: