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India-Global Market Summary 01-06-2012
• Market continued its decline trend on weak Asian markets. Investors’ dumped risky assets after
  data showing downbeat manufacturing activity from China to Europe raised doubts about global
  economic recovery. Reports indicating that monsoon rains over India's mainland will be delayed by
  about four days also weighed on sentiment. Sensex fell below the psychological 16,000 mark. The
  market breadth was weak. Sensex fell by 1.71% to 15940.71 and Nifty fell 1.81% to 4834.95.
  Among the 30-share Sensex pack, 27 fell while the rest rose.
• Prime Minister has approved the setting up of a mechanism that will track the progress of all major
  infrastructure projects to avoid delays in their completion. The government said it will periodically
  review the progress of projects under the Investment Tracking System to ensure that issues are
  quickly identified and resolved. All public-sector projects with an investment of 10 billion rupees
  ($178 million) or more will be monitored by the National Manufacturing Competitive Council.
• Monsoon rains over India's mainland will be reportedly delayed by about four days and are
  expected to hit the southern state of Kerala around June 5. The state-run India Meteorological
  Department had initially forecast the monsoon would arrive by June 1, but the progress of rains has
  stalled over Sri Lanka. Around 60% of summer crops are rain-fed, and if monsoon rainfall is more
  or less on schedule and in sufficient amounts, crops that benefit from the rains account for around
  half of India's total agricultural output.
• India's merchandise exports rose by 3.2% to $24.45 billion in April while imports rose by 3.83% to
  $37.94 billion. India's trade deficit stood at $13.48bn in April versus $13.91bn in March
• India's manufacturing sector kept up its steady expansion in May, with fast-rising output evened out
  by slowing growth of domestic order books. The HSBC manufacturing Purchasing Managers'
  Index (PMI), compiled by Markit, slipped marginally to 54.8 in May from 54.9 in April. It has
  stayed above the 50 mark, that separates growth from contraction, for a little over three years now.
  The survey's output index rose to 56.4 in May from 56.1 in April, while the employment sub-index
  rose to its highest level in ten months.
• Reliance Industries was down over 3%. Jindal Steel & Power hit 52-week low. ITC
  rose 1.89% on defensive buying. Cairn India fell 4.6% and ONGC declined 3.04%.
  Oil India rose 1.62%.
• M&M fell 1.03%, its total sales rose 28.2% to 43,988 units in May 2012 over May
  2011.Maruti Suzuki India shed 2.92%, its total sales declined 5% to 98,884 units in
  May 2012 over May 2011.
• Tata Motors' total sales of Tata commercial and passenger vehicles rose 4% to
  64,347 vehicles in May 2012 over May 2011.
• Automobile and hotel stocks were down across the board after the government
  announced a series of austerity measures in the context of the current fiscal
  situation where there is a tremendous pressure on government's resources. The
  finance ministry has banned purchase of new vehicles until further orders, including
  against condemned vehicles. The finance ministry also announced a ban on holding
  meeting and conferences at five-star hotels.
• Oil exploration firms mostly declined as crude futures fell to its lowest level in
  seven months today, after China's manufacturing index missed estimates, adding to
  speculation global demand will falter. Lower crude oil prices will result in lower
  realization from crude sales for oil exploration firms such. Realty stocks declined.
• Shares of two-wheeler makers edged lower on worries recent steep hike in petrol
  could hit demand for petrol driven two wheelers. Construction stocks declined
  across the board.
Global news
• European stock markets turn sharply lower on Friday after downbeat European
  PMI data threw clouds over the region's manufacturing sector, while investors
  awaited U.S. nonfarm payrolls due later in the day. Most Asia markets fell
  Friday after data indicated that momentum is slowing in the Chinese economy.
  US stocks fell modestly on Thursday to close out the worst month since
  September as investor sentiment sank on Europe's deepening credit problems.
  The continuing worry over Europe and a batch of disappointing US economic
  figures weighed on the market. Jobless claims rose for the seventh week in
  eight, putting investors on edge before today's US monthly payrolls report.

• The May purchasing managers' index for Britain's manufacturing sector
  released on Friday fell sharply to post a three-year low, indicating a steeper-
  than-expected contraction in activity. The Markit/CIPS manufacturing PMI fell
  to 45.9 from a reading of 50.2 in April.

• Manufacturing sector activity across the debt-stricken eurozone contracted at
  the fastest pace in three years in May. The Markit purchasing managers' index
  for the sector fell to 45.1 last month from 45.9 in April and was little changed
  from a preliminary estimate of 45.0.

• China's official version of the manufacturing Purchasing Managers' Index
  declined to 50.4 in May, from 53.3 in April, well below forecasts.
  Meanwhile, the HSBC survey showed that China's factory activity contracted
  for a seventh straight month in May.
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Market summary pptx 01.06.2012

  • 1. India-Global Market Summary 01-06-2012 • Market continued its decline trend on weak Asian markets. Investors’ dumped risky assets after data showing downbeat manufacturing activity from China to Europe raised doubts about global economic recovery. Reports indicating that monsoon rains over India's mainland will be delayed by about four days also weighed on sentiment. Sensex fell below the psychological 16,000 mark. The market breadth was weak. Sensex fell by 1.71% to 15940.71 and Nifty fell 1.81% to 4834.95. Among the 30-share Sensex pack, 27 fell while the rest rose. • Prime Minister has approved the setting up of a mechanism that will track the progress of all major infrastructure projects to avoid delays in their completion. The government said it will periodically review the progress of projects under the Investment Tracking System to ensure that issues are quickly identified and resolved. All public-sector projects with an investment of 10 billion rupees ($178 million) or more will be monitored by the National Manufacturing Competitive Council. • Monsoon rains over India's mainland will be reportedly delayed by about four days and are expected to hit the southern state of Kerala around June 5. The state-run India Meteorological Department had initially forecast the monsoon would arrive by June 1, but the progress of rains has stalled over Sri Lanka. Around 60% of summer crops are rain-fed, and if monsoon rainfall is more or less on schedule and in sufficient amounts, crops that benefit from the rains account for around half of India's total agricultural output. • India's merchandise exports rose by 3.2% to $24.45 billion in April while imports rose by 3.83% to $37.94 billion. India's trade deficit stood at $13.48bn in April versus $13.91bn in March • India's manufacturing sector kept up its steady expansion in May, with fast-rising output evened out by slowing growth of domestic order books. The HSBC manufacturing Purchasing Managers' Index (PMI), compiled by Markit, slipped marginally to 54.8 in May from 54.9 in April. It has stayed above the 50 mark, that separates growth from contraction, for a little over three years now. The survey's output index rose to 56.4 in May from 56.1 in April, while the employment sub-index rose to its highest level in ten months.
  • 2. • Reliance Industries was down over 3%. Jindal Steel & Power hit 52-week low. ITC rose 1.89% on defensive buying. Cairn India fell 4.6% and ONGC declined 3.04%. Oil India rose 1.62%. • M&M fell 1.03%, its total sales rose 28.2% to 43,988 units in May 2012 over May 2011.Maruti Suzuki India shed 2.92%, its total sales declined 5% to 98,884 units in May 2012 over May 2011. • Tata Motors' total sales of Tata commercial and passenger vehicles rose 4% to 64,347 vehicles in May 2012 over May 2011. • Automobile and hotel stocks were down across the board after the government announced a series of austerity measures in the context of the current fiscal situation where there is a tremendous pressure on government's resources. The finance ministry has banned purchase of new vehicles until further orders, including against condemned vehicles. The finance ministry also announced a ban on holding meeting and conferences at five-star hotels. • Oil exploration firms mostly declined as crude futures fell to its lowest level in seven months today, after China's manufacturing index missed estimates, adding to speculation global demand will falter. Lower crude oil prices will result in lower realization from crude sales for oil exploration firms such. Realty stocks declined. • Shares of two-wheeler makers edged lower on worries recent steep hike in petrol could hit demand for petrol driven two wheelers. Construction stocks declined across the board.
  • 3. Global news • European stock markets turn sharply lower on Friday after downbeat European PMI data threw clouds over the region's manufacturing sector, while investors awaited U.S. nonfarm payrolls due later in the day. Most Asia markets fell Friday after data indicated that momentum is slowing in the Chinese economy. US stocks fell modestly on Thursday to close out the worst month since September as investor sentiment sank on Europe's deepening credit problems. The continuing worry over Europe and a batch of disappointing US economic figures weighed on the market. Jobless claims rose for the seventh week in eight, putting investors on edge before today's US monthly payrolls report. • The May purchasing managers' index for Britain's manufacturing sector released on Friday fell sharply to post a three-year low, indicating a steeper- than-expected contraction in activity. The Markit/CIPS manufacturing PMI fell to 45.9 from a reading of 50.2 in April. • Manufacturing sector activity across the debt-stricken eurozone contracted at the fastest pace in three years in May. The Markit purchasing managers' index for the sector fell to 45.1 last month from 45.9 in April and was little changed from a preliminary estimate of 45.0. • China's official version of the manufacturing Purchasing Managers' Index declined to 50.4 in May, from 53.3 in April, well below forecasts. Meanwhile, the HSBC survey showed that China's factory activity contracted for a seventh straight month in May.
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