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。

投资者开启风险偏好模式,金融市场多项资产上涨

5月份似乎在一个积极的趋势中结束,预计6月份将是一个看涨的季节,过去连续三个月都是如此。包括股票、指数和加密货币在内的股票市场以强劲的看涨势头开始了新的一周,也是本月的最后一周。

目前流入股票和加密市场的资本是一个明确的指标,表明市场已经回归风险偏好。目前,无疑是投资加密货币、股票、指数和大宗商品的最佳时机。

什么是风险偏好模式?

传统上,市场分为两种模式:风险偏好和风险规避。风险偏好模式是大多数交易者愿意重新承担风险的时期。在此期间,我们经历了大量资金流入股票、加密货币和大宗商品市场。投资者试图通过将投资转向风险资产来对冲通货膨胀。因此,我们看到风险资产再次创下历史新高。

在风险偏好模式下,哪些资产更适合投资?

毫无疑问,这种模式下也是投资股票、指数、加密货币和大宗商品的最佳时机。我们提供了在此期间最值得购买的资产的描述。

加密货币:通常,在风险偏好积极的情况下,很多资金进入加密货币。在今天的亚洲交易中,比特币的价格已经强势突破了3万,这并不奇怪。目前价格为30300美元,在过去几个小时内上涨了2.89%。对于其他代币同样利好,尤其是以太坊、币安币(BNBUSD)、多吉币、莱特币(LTCUSD)、卡达诺币(ADAUSD)、Polkadot、Uniswap、Link (LNKUSD)和恒星币(XLM)。

股票:今天亚洲股市上涨,我们预计美国股市、德国股市、香港股市和法国股市的上涨趋势还会继续。ATFX的经纪人提供了一份这些股票的名单供交易员选择。

指数:股票和指数是不可分割的组合。我们今天交易的指数是将多只股票组合在一起,用来跟踪股票市场的表现。今天最波动的指数是Nasdaq 100、UK100、GER30、HKCH50、SPX500、JP225、US30、FRA 40等。

大宗商品:主要大宗商品,如黄金、白银和原油目前处于强劲的看涨势头。许多人认为,金价将再次走向1,900美元。许多人会认为当前的趋势对投资者来说是一个绝佳的买入机会。

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