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1    New Theories leading markets higher; M&A activities signal, Will currencies play the spoilsport




    New theories emerge as the markets heads higher. Does M&A activities signal something?
    Will currencies play the spoilsport for this rally in medium to longer term?



    Where is the actual news flow, on which global financial markets (including our markets) react,
    and react on a daily basis? It actually flows from the United States. And I continue with my view
    that Indian markets on the back of no or/and lack of news flow, will continue to react to global
    news flow.


    Markets all around the globe just wants to head higher but WHY? Every-time some amount of
    pessimism starts occurring; some new theory starts emerging, which takes the market higher
    than the previous high. This time around these theories apart from what we keeps on hearing
    i.e., housing recovery, consumer spending, Stabilization in Banking sector as a whole, credit
    flowing again, continuing low interest rates, liquidity, money on the sidelines, hedge fund
    money coming back to the market etc., are IPO filing, M&A deals (US$ 60 Billion of deals
    announced in last 5 weeks in United States) etc.



    Does M&A (mergers and acquisitions) activities signal anything?


    During the period Jan-Sep, in 2007, 2008, 2009 the total deals value (M&A) have amounted to
    US$ 1.28 Trillion, 833 Billion and 492 Billion respectively (source: Thomas Reuters).


    I believe yes, because when a corporation starts looking for utilizing shareholders money to
    expand its footprint either by acquiring a competitor or in order to increase the product
    portfolio or services, they first look at their businesses, and access their outlook for the next 12-   29th September, 2009

    24 months at-least, before actually deciding on their course of action with respect to M&A. The
    management/CEOs then try and access the risk involved in acquiring the company, and its
    outlook after the deal is done. And until and unless, they would not find things to be rosy
    enough going forward (in the longer term), I doubt in this environment, when there is more of
    shareholders activism and more scrutiny on any deal which happens, they are going to go
    ahead with the deal. And the stock prices of either company instantly provide a feedback on
    the quality of the merger or the acquisition. And fortunately, most of the company which has


    Vinit Tulsyan                                                      http://vinittulsyan.wordpress.com
2    New Theories leading markets higher; M&A activities signal, Will currencies play the spoilsport



    announced a merger or an acquisition, their stock prices in few days since announcement has
    only gone up. So the management decision to get involve in M&A activities and the stock price
    reaction in next couple of days of announcements provide a signal, which clearly states what
    the management and the investors are thinking about the prospect the deal going forward. And
    going by the activities taking place in M&A markets, this leads to a signal that going forward (in
    2-3 years), the economic scenario should be significantly better than what it is today.


    The optimism has such a superior edge over pessimism that US equity markets are having the
    best quarter since 1998 i.e. best quarter in over a decade. And I believe this optimism will
    further drive this M&A deal activities going forward in the rest of 2009 and in 2010; also helping
    in stabilization of banking sector in some way (as revenue from this avenue starts picking up).



    US markets have rallied (all three major indices) anywhere in between 55-60% since the march
    lows (specifically since 9th March 2009), and I wrote an article on 10th March 2009 titled
    “OPTIMISM PLAY: BULLS ARE BACK ATLEAST FOR NOW WITH MARKETS TRYTING TO FIND A
    BOTTOM ON THE BACK OF HOPE”, and when things have kind of turned corners, I again now
    believe that Bulls will try to find a higher high on the back of more stronger economic recovery
    but will the currencies play a spoilsport. In this article I try and find an answer to this peculiar
    question…



    Will currencies play the spoilsport for this equities rally?


    I actually expect the dollar to be lower for now, but will start stabilizing once FED reverses its
    policy on Interest rates or on quantitative easing. At the same time I strongly believe, US will
    have to support the dollar in order to attract debt investors, and when that happens, in my              29th September, 2009

    view there is going to be a trade-off between equities, dollar, and interest rates. Money flowing
    into dollar would simply mean, lower allocation for equities, interest rates moving northwards,
    and in-turn treasury securities will start looking as a safe haven investment once again;
    ultimately leading to a more inflationary environment (about which most of the experts on US
    economy feel that Inflation will start kicking in starting next year).




    Vinit Tulsyan                                                        http://vinittulsyan.wordpress.com
3    New Theories leading markets higher; M&A activities signal, Will currencies play the spoilsport



    A weaker Indian Rupee going forward…


    A stronger dollar would mean a weaker Indian Rupee, and I am of view that going forward
    Indian Currency will be in a tight range with a negative bias. This does not necessarily mean that
    money (especially developed world) will start moving out of Indian equities market because of
    rising dollar and a more lucrative risk-return proposition with respect to US treasuries, but I
    definitely feel that the quantum of money supply to Indian equities will slow down. I also
    believe that the money supply through either ways would only pick up when we have our GDP
    numbers coming out and those are at-least at satisfactorily level, if not better.



    The peculiar Chinese scenario…Wait and Watch


    In China Money supply is going to the roof in order to stimulate the economy and the best
    solution to actually balance this is to have a strong YUAN, and if it does not happen, I believe
    that as the expectation which market participants worldwide have built in that China is going to
    lead this world in coming out of the this economic turmoil, than that point in time, the larger
    belief would be that China would be the country, which will lead the world in the inflationary
    environment. A stronger YUAN would mean, more dollars in exchange of lesser YUAN;
    subsequently meaning a lower value for Chinese Forex reserves (majority of which is in US
    Dollar). Well, there is a set-off here, and which is that when US Fed/Treasury starts reversing its
    policy on interest rates or/and quantitative easing, US Dollar will have a support, and which in-
    turn could provide a set-off for Chinese investments in US Dollar. There is a caveat as well, a
    stronger YUAN will start hurting competitiveness in Chinese exports, which has been
    contributed as the biggest reason for the turmoil in Chinese economy and result being the
    biggest stimulus package by Chinese authorities to help increase internal consumption and
    make their economy less dependent on exports; so even I do not know, how Chinese                       29th September, 2009

    authorities are going to handle this scenario.



    The Summary


    Now the bears are trying to find new arguments as the September analogy has failed, but they
    still cannot envision scenario that causes significant correction and so as me. I believe markets


    Vinit Tulsyan                                                      http://vinittulsyan.wordpress.com
4    New Theories leading markets higher; M&A activities signal, Will currencies play the spoilsport



    all around the globe (including Indian markets) might not sustain the kind of moves (one way
    move) it has seen since 9TH March 2009, but will try to find a sense from every news flow
    coming out of the developed world, making the markets to turn highly volatile in shorter to
    medium term, but with a positive bias.




                                                   ***




    Thanking You,
    Warm Personal Regards,


    Vinit Tulsyan
    http://vinittulsyan.wordpress.com




                                                                                                           29th September, 2009




    Vinit Tulsyan                                                      http://vinittulsyan.wordpress.com

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New Theories, M&A Activities, Currencies

  • 1. 1 New Theories leading markets higher; M&A activities signal, Will currencies play the spoilsport New theories emerge as the markets heads higher. Does M&A activities signal something? Will currencies play the spoilsport for this rally in medium to longer term? Where is the actual news flow, on which global financial markets (including our markets) react, and react on a daily basis? It actually flows from the United States. And I continue with my view that Indian markets on the back of no or/and lack of news flow, will continue to react to global news flow. Markets all around the globe just wants to head higher but WHY? Every-time some amount of pessimism starts occurring; some new theory starts emerging, which takes the market higher than the previous high. This time around these theories apart from what we keeps on hearing i.e., housing recovery, consumer spending, Stabilization in Banking sector as a whole, credit flowing again, continuing low interest rates, liquidity, money on the sidelines, hedge fund money coming back to the market etc., are IPO filing, M&A deals (US$ 60 Billion of deals announced in last 5 weeks in United States) etc. Does M&A (mergers and acquisitions) activities signal anything? During the period Jan-Sep, in 2007, 2008, 2009 the total deals value (M&A) have amounted to US$ 1.28 Trillion, 833 Billion and 492 Billion respectively (source: Thomas Reuters). I believe yes, because when a corporation starts looking for utilizing shareholders money to expand its footprint either by acquiring a competitor or in order to increase the product portfolio or services, they first look at their businesses, and access their outlook for the next 12- 29th September, 2009 24 months at-least, before actually deciding on their course of action with respect to M&A. The management/CEOs then try and access the risk involved in acquiring the company, and its outlook after the deal is done. And until and unless, they would not find things to be rosy enough going forward (in the longer term), I doubt in this environment, when there is more of shareholders activism and more scrutiny on any deal which happens, they are going to go ahead with the deal. And the stock prices of either company instantly provide a feedback on the quality of the merger or the acquisition. And fortunately, most of the company which has Vinit Tulsyan http://vinittulsyan.wordpress.com
  • 2. 2 New Theories leading markets higher; M&A activities signal, Will currencies play the spoilsport announced a merger or an acquisition, their stock prices in few days since announcement has only gone up. So the management decision to get involve in M&A activities and the stock price reaction in next couple of days of announcements provide a signal, which clearly states what the management and the investors are thinking about the prospect the deal going forward. And going by the activities taking place in M&A markets, this leads to a signal that going forward (in 2-3 years), the economic scenario should be significantly better than what it is today. The optimism has such a superior edge over pessimism that US equity markets are having the best quarter since 1998 i.e. best quarter in over a decade. And I believe this optimism will further drive this M&A deal activities going forward in the rest of 2009 and in 2010; also helping in stabilization of banking sector in some way (as revenue from this avenue starts picking up). US markets have rallied (all three major indices) anywhere in between 55-60% since the march lows (specifically since 9th March 2009), and I wrote an article on 10th March 2009 titled “OPTIMISM PLAY: BULLS ARE BACK ATLEAST FOR NOW WITH MARKETS TRYTING TO FIND A BOTTOM ON THE BACK OF HOPE”, and when things have kind of turned corners, I again now believe that Bulls will try to find a higher high on the back of more stronger economic recovery but will the currencies play a spoilsport. In this article I try and find an answer to this peculiar question… Will currencies play the spoilsport for this equities rally? I actually expect the dollar to be lower for now, but will start stabilizing once FED reverses its policy on Interest rates or on quantitative easing. At the same time I strongly believe, US will have to support the dollar in order to attract debt investors, and when that happens, in my 29th September, 2009 view there is going to be a trade-off between equities, dollar, and interest rates. Money flowing into dollar would simply mean, lower allocation for equities, interest rates moving northwards, and in-turn treasury securities will start looking as a safe haven investment once again; ultimately leading to a more inflationary environment (about which most of the experts on US economy feel that Inflation will start kicking in starting next year). Vinit Tulsyan http://vinittulsyan.wordpress.com
  • 3. 3 New Theories leading markets higher; M&A activities signal, Will currencies play the spoilsport A weaker Indian Rupee going forward… A stronger dollar would mean a weaker Indian Rupee, and I am of view that going forward Indian Currency will be in a tight range with a negative bias. This does not necessarily mean that money (especially developed world) will start moving out of Indian equities market because of rising dollar and a more lucrative risk-return proposition with respect to US treasuries, but I definitely feel that the quantum of money supply to Indian equities will slow down. I also believe that the money supply through either ways would only pick up when we have our GDP numbers coming out and those are at-least at satisfactorily level, if not better. The peculiar Chinese scenario…Wait and Watch In China Money supply is going to the roof in order to stimulate the economy and the best solution to actually balance this is to have a strong YUAN, and if it does not happen, I believe that as the expectation which market participants worldwide have built in that China is going to lead this world in coming out of the this economic turmoil, than that point in time, the larger belief would be that China would be the country, which will lead the world in the inflationary environment. A stronger YUAN would mean, more dollars in exchange of lesser YUAN; subsequently meaning a lower value for Chinese Forex reserves (majority of which is in US Dollar). Well, there is a set-off here, and which is that when US Fed/Treasury starts reversing its policy on interest rates or/and quantitative easing, US Dollar will have a support, and which in- turn could provide a set-off for Chinese investments in US Dollar. There is a caveat as well, a stronger YUAN will start hurting competitiveness in Chinese exports, which has been contributed as the biggest reason for the turmoil in Chinese economy and result being the biggest stimulus package by Chinese authorities to help increase internal consumption and make their economy less dependent on exports; so even I do not know, how Chinese 29th September, 2009 authorities are going to handle this scenario. The Summary Now the bears are trying to find new arguments as the September analogy has failed, but they still cannot envision scenario that causes significant correction and so as me. I believe markets Vinit Tulsyan http://vinittulsyan.wordpress.com
  • 4. 4 New Theories leading markets higher; M&A activities signal, Will currencies play the spoilsport all around the globe (including Indian markets) might not sustain the kind of moves (one way move) it has seen since 9TH March 2009, but will try to find a sense from every news flow coming out of the developed world, making the markets to turn highly volatile in shorter to medium term, but with a positive bias. *** Thanking You, Warm Personal Regards, Vinit Tulsyan http://vinittulsyan.wordpress.com 29th September, 2009 Vinit Tulsyan http://vinittulsyan.wordpress.com