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Futures Trading and Commodity News
| April 2010

- May 12, 2010 -
Crude falls sharply after the release of the Department of Energy
report on supply and demand
- May 05,
2010 - Crude trades down to a
six-week low over the past five sessions
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April 30, 2010 - Last
trading day of the month, EC better, British worse due to election
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April 29, 2010 - Broad
market rally after the Fed left rates unchanged
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April 28, 2010 - Wall
Street broadly lower but taking GS higher on the day
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April 27, 2010 - EC
worse on Greek default concerns. Goldman Sachs testimony
today
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April 26,
2010 - Greece is lower by 2.5%, putting the pressure on Euro
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April 23, 2010 - The dollar is
stronger across the board, continuing lack of growth in Europe
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April 22, 2010
- ECB reports that Greece's budget deficit is worse than
previously thought, EC further lowered on this report
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April 20, 2010 -
Goldman earnings come in better than expected but shares are
unchanged for obvious reasons
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April 19,
2010 - Leading Economic Indicators weak dud to an exogenous event;
Goldman
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April 16, 2010 -
US jobless benefits keep getting extended
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April 15, 2010 -
Crude stocks decline for the first time since forever
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April 14, 2010 -
Intel comes in better than expected
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April 13, 2010 - Structural
concern between North and South EC looms over Greek default
problem
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April 12, 2010 - The
EC 61 billion dollar bailout package for Greece
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April 9,
2010 - Hope is bubbling that a Greek bailout package can somehow
be cobbled together
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April 8, 2010 -
Continuing questions over Greek debt pressuring the EC
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April 7, 2010 -
Crude inventories out today. More concerns about Greek
indebtedness and the British elections
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April 6, 2010 -
Euro weaker overnight as Greek debt fears have pressured the
market
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April 5, 2010 -
A light week as Europe observes Easter Monday
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April 1,
2010 - Weekly jobless claims come in a bit better than expected
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