2月3日 逍遥神玩转网游

AETOS aituosi: Data tepid dollar index plunged clients view the latest market $DXY on Wednesday (February 3rd) by selling data for the United States is tepid leading currency on technical breakthrough. The number of U.S. January ADP employment increased 205 thousand released Wednesday, better than market expectations of 195 thousand, but in January January services PMI and non manufacturing PMI are underperforming, and New York Fed President Dudley issued a dovish speech, the market is expected to drop to the Fed rate hike in 2016, the Fed rate hike process is full of variables, the United States that fall down, and below the 98 mark, to refresh the two month low to 97.43. The dollar index fell sharply, non US currencies have rebounded higher. As a forward-looking indicators of non farm employment data, ADP employment report suddenly cooled, or Friday (February 5th) announced the January employment report cast a shadow. Some analysts have pointed out that since 2016, global economic worries intensified, volatility in financial markets, the U.S. economic recovery is affected, and then spread to the job market. The Fed’s number three — the New York Fed President Dudley (William Dudley) on Wednesday (February 3rd) said in an interview, since the Fed (Fed) raised interest rates since a few weeks, the financial situation has been tightened, if this phenomenon continues, monetary policy makers will have to be considered. Since December, a significant tightening of financial environment, if this trend continues, will bring pressure to the Fed’s monetary policy. A stronger dollar will hurt the U.S. economy, the global economy will be a major decline. Dudley speech this time is the latest Fed officials expressed concern about the financial situation of tight identity. Since December the Federal Reserve to raise interest rates, the global stock market has been in a few weeks fell sharply, especially the rising cost of credit enterprise. EURUSD on Wednesday (February 3rd) Asian city in early trading, the euro dollar hovered near the level at 1.0900. The euro dollar overnight after an intraday refresh intraday high of 1.0939, but failed to break the recent upper range further upstream, turn down to 1.0890 areas, this position once again encountered in buying support. The euro against the dollar yesterday recovered 1.0900 decline because of the dollar against a basket of major currencies under pressure. Is expected this week weak leading indicators across the board may suppress the recent recovery in risk sentiment, which will benefit the euro currency and will increase the risk of financing, from the current point of view, today in a certain period of time is still possible to test. Wednesday (February 3rd) UBS (UBS) pointed out that the analysis of short-term trading strategies, the euro dollar struggling in the current narrow trading range, selling 1.1 gathered in the position, and buying is mainly concentrated in the 1.08 below the top 1.1, but need to drive certain news. Overall, the bank did not do more interest. The Danske bank Wednesday (February 3rd) the author pointed out that the euro dollar only faced a big negative factor, that is relative to the interest rate, interest rate difference makes the dollar support. However, the euro against the dollar is substantially undervalued, the euro zone’s economic cycle appears to be stronger than the United states.

AETOS艾拓思:数据不温不火 美元指数暴跌 客户端 查看最新行情   DXY   美元周三(2月3日)惨遭抛售,因美国数据不温不火导致主要货币对取得技术突破。周三公布的美国1月ADP就业人数增加20.5万,好于市场预期19.5万,但1月服务业PMI及1月非制造业PMI均表现不佳,且纽约联储主席杜德利发表鸽派讲话,市场对美联储2016年加息的预期骤降,美联储加息进程充满变数,美指暴跌下行,并跌破98关口,刷新两个月低位至97.43。由于美元指数大幅下挫,非美货币纷纷反弹走高。作为非农就业数据的前瞻指标,ADP就业报告骤然降温,或为周五(2月5日)公布的1月非农就业报告蒙上一层阴影。有分析人士指出,2016年迄今,全球经济担忧加剧,金融市场剧烈波动,美国的经济复苏受到影响,进而波及就业市场。美联储三号人物――纽约联储主席杜德利(William Dudley)周三(2月3日)在接受采访时称,自美联储(Fed)上调利率以来的几周时间里,金融形势已经大为收紧,如果这一现象持续,货币政策的制定者将不得不对此给予考虑。12月以来金融环境显著收紧,若这种趋势持续下去,将给美联储货币政策带来压力。美元走强将伤害美国经济,全球经济将出现重大下滑。杜德利本次的讲话是最新一次美联储官员对金融状况吃紧担忧表示认同。自从美联储12月升息以来,全球股市已经在数周内大幅挫跌,尤其是企业的信贷成本上升。   EURUSD   周三(2月3日)亚市早盘,欧元 美元位于1.0900附近水平徘徊。隔夜欧元 美元日内一度刷新日内高点至1.0939,但是未能突破近期区间上端进一步上行,转而跌向1.0890区域,此位置再次遇到买盘兴趣支撑。欧元兑美元昨日收复1.0900,因美元兑一篮子主要货币承压走低。预计本周的领先指标全线疲软可能打压近期复苏的风险情绪,这将有利于欧元等融资货币和将增加风险,从目前来看,今天某个时间段仍有可能测试。周三(2月3日)瑞银集团(UBS)短线交易策略分析指出,欧元兑美元挣扎于当前缩窄的交投区间,卖盘聚集在1.1位置附近,而买盘则主要集中在1.08下方1.1上方,但是需要一定消息面的驱动。整体来看,该行并没有做多的兴趣。而丹斯克银行周三(2月3日)撰文指出,欧元兑美元只面临一大利空因素,那就是相对利率,利率差异使得美元受到支撑。然而,欧元兑美元被大幅低估、欧元区的经济周期看似强于美国等几大因素表明欧元兑美元将会走高,该行认为现在是时候为欧元 美元进一步上行做好准备了。 新浪声明:新浪网登载此文出于传递更多信息之目的,并不意味着赞同其观点或证实其描述。文章内容仅供参考,不构成投资建议。投资者据此操作,风险自担。相关的主题文章: