21.12.2011 - What factors will drive commodity markets in 2012?
European woes related to sovereign debt and potential Middle East tensions will likely dominate headlines for financial and commodity markets in 2012, most market watchers have said, and the volatility seen this year could be part of the trading landscape next year, too. That means market participants will have to be nimble and prepared for any gyrations that may come to pass from these regions. Yet it’s often the news that comes seemingly out of nowhere that can really catch investors off guard and harm their portfolios...............................................Full Article: Source
Print