We're seeing some foreign money and bit more volume.
The market could see some profit taking, but it is showing a certain consistency. It is staying above water and volume is rising.
When you think in dollar terms, there are plenty of cheap assets out there to be bought, and that's exactly what's happening.
There's not much to say, volume is low, and the market is weak.
People are talking about another problem in Argentina.
The world is being turned on its head. Everybody is nervous.
Nobody's sure of anything ... and the trend is for more weakness.
The shares have hit these recent peaks because it's probable some investors have some details on the (privatization) transaction that haven't been made available to the market yet.
The climate is still very nervous and any bad news could knock the market lower. There's still no interest in the market.
Things are still very complicated and the market remains nervous and should stay that way for some time.