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。

在避险情绪中,白银(XAGUSD)跌至3年低点

XAGUSD—白银在今天的亚洲交易时段经历了严重的价格暴跌。投资者似乎已回归风险规避模式,在美国CPI报告发布前抛售风险资产。白银价格因此跌至三年来的最低点18.85美元。投资者似乎已经失去了对大宗商品的兴趣,这些商品迄今一直被用作对冲通胀的工具。

美联储激进的加息,以及7月份可能加息的信号,已迫使投资者抛售手中的白色金属,购买安全的避风港——美元。

白银一直与美元挂钩,主要受美元强势的影响。随着美元指数升至108.4的新高,创下20年来的新高,白银和其他与美元挂钩的大宗商品必然会下跌。

银价目前正在寻求建立新的支撑,以支持其当前的位置。不过,卖空者并没有因此暂歇。目前白银的抛售压力非常大,分析师预计价格会更低。白银的下一个目标可能是在2019年建立在18.13美元的支撑位。

尽管如此,CPI报告的结果将决定银价的下一个趋势,以及目前的下跌趋势是否会继续下去。CPI数据的上升可能会导致美元进一步加息。这将进一步降低银价和其他风险资产的价格。

什么是风险规避模式?

风险规避模式,又称避险模式,是投资者规避风险资产的一种模式。风险资产包括大宗商品、加密货币和股票,用于投资美元和其他风险较低的投资。在这种情况下,投资者往往会因为美元提供的高利率而被吸引。这种风险规避模式已经成为白银和其他风险资产的寒冬。因此,买家往往对买入更多白银兴趣不大,而现有投资者则经常抛售现有头寸。这就解释了为什么白银价格在今天的亚洲交易中被推到了三年来的最低点。

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