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。

道琼斯工业指数面临重要的两周行情

道琼斯工业指数已经从创纪录的连续下跌中反弹,现在面临着一个重要的年底行情。

US 30 – Daily Chart

US30日线图

上周,US30指数出现了多年来最大的单日跌幅,大幅抛售导致该指数反弹至42000点。接下来的两周很重要,我们将看到股市在今年年底或2025年初是走弱还是走强。下方的进一步支撑位在41,381和40,000位。

美国工业指数可以作为外国投资者对美国股票兴趣的一个指标。许多海外投资者都希望拥有上证综指30强中的优秀股票。

最新举措可能突显海外投资者对特朗普政府的担忧。美元的波动可能也造成了一些负面情绪。

周五,在温和的美国个人消费支出报告发布后,股市反弹,而政府关门的威胁也有所消退。投资者认为,周三美联储会议后的抛售可能有些过头了。美联储主席鲍威尔表示,在2025年只会降息两次,令市场失望,此前他曾表示会降息四次。

如果国会能够通过一项临时拨款法案,政府可能在周五午夜关门,股市因此受到打击。共和党控制的众议院周四无法通过特朗普批准的拨款法案,这也是一个令人担忧的迹象。这可能突显出未来几年进一步的政治僵局。

任何延长的政府停摆都将对美国经济增长产生负面影响。特朗普周五威胁称,如果欧盟不大量购买美国石油和天然气,他将对欧盟征收关税,股市进一步下跌。

自大选以来,关税威胁的声音越来越大,这可能是海外投资者抛售道琼斯指数成份股的原因。

周五公布的弱于预期的个人消费支出通胀报告显示,11月物价环比上涨0.1%,同比上涨2.4%,这确实给美联储的计划带来了一点压力。

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要点 * 美国总统特朗普周一表示,美国与伊朗正在进行“良好的对话”,双方有可能就这场冲突达成协议。地缘局势改善导致原油价格大跌,美股在关键科技巨头一系列业绩前夕涨跌不一,美元跟随风险偏好改善而回落,黄金则获得提振。 * 日内澳洲联储主席布洛克讲话将是观察澳洲联储下一步动向的窗口,看是否会在暂停连续加

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中东紧张局势持续升级,日内部分聚焦欧央行决议

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美伊紧张局势提振避险需求,金价反弹至4050美元上方

7月22日星期三,亚洲早盘交易中,金价重回每盎司4050美元上方,此前金价一度回落至4000美元附近,投资者纷纷买入黄金。持续的美伊冲突支撑了避险需求,而初步的停火努力也缓解了人们对高油价将迫使美国加快加息的担忧。 市场概览 现货黄金(XAU/USD)在亚洲早盘交易中接近每盎司4080美元,当日上涨

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科技巨头密集业绩在即,美股获得半导体提振反弹

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