差价合约是复杂的金融交易产品,可带来由杠杆作用而导致迅速亏损的高风险。大部分的零售投资者帐户在跟交易差价合约时录得资金亏损。您应当考虑您是否充分明白差价合约如何运作,以及您是否能承受您的资金损失的高风险。

受伊朗紧张局势影响,美元指数守住100关口,油价和黄金随避险情绪上涨

周四,美元指数在略低于100的水平徘徊,受避险资金流入支撑,此前伊朗局势升级令全球市场动荡不安。油价大涨,而股市下跌,凸显了中东地区持续存在的地缘政治风险。

Market Snapshot - Global Market Risk Aversion Trends

市场概览

美元指数(DXY)交投于99.50附近,较周三收盘价上涨0.2%,此前该指数本周早些时候曾测试100的阻力位。布伦特原油(LCOc1)上涨2.1%至每桶105.20美元,WTI原油上涨2.3%至每桶101.50美元,主要受霍尔木兹海峡供应中断担忧的推动。黄金(XAU)上涨1.2%至每盎司4,525美元,从近期下跌中反弹,投资者寻求避险资产。

地缘政治导火索

伊朗否认了美国关于缓和局势谈判的说法,并誓言对美国目标发动新的袭击,使这场已持续四周的冲突进一步延长。美国总统唐纳德·特朗普重申了要求伊朗军事投降的立场,而以色列的军事行动则针对德黑兰强硬派,其中包括最高领袖阿里·哈梅内伊的潜在继任者。海湾国家卷入冲突的程度日益加深,加剧了人们对地区局势更加动荡的担忧。

股市承压

华尔街股指期货走低,标普500指数期货下跌0.8%,纳斯达克100指数期货下跌1.1%。欧洲基准股指,如欧元区斯托克50指数下跌0.9%,反映出在脆弱的停火希望下,市场避险情绪升温。亚洲股市涨跌互现,日本日经指数下跌1.2%,石油相关能源股在一定程度上抵消了跌幅。

避险资产转移

美元兑欧元上涨0.4%至1.0820美元,兑日元上涨0.3%至150.20。美国10年期国债收益率下跌3个基点至4.25%,表明债券市场可能出现买盘,而瑞士法郎作为第二避险货币小幅上涨0.2%。比特币价格在72,000美元附近持稳,受到避险情绪和对冲通胀需求的双重影响。

政策应对

美联储面临能源成本上涨带来的越来越大的压力,分析师警告称,通胀率可能持续高于3%。欧洲央行官员表示,如果经济增长进一步放缓,他们准备暂停加息。欧佩克+产油国讨论了增产事宜,但在霍尔木兹海峡局势的威胁下,他们优先考虑的是经济稳定。

关于作者

 

Martin Lam 是 ATFX 亚太区首席分析师,在全球外汇及投资市场拥有逾 20 年的经验。他毕业于迪肯大学(Deakin University),主修金融与经济学,并曾在多家领先的外汇经纪公司担任高级管理职位。

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