差價合約是複雜的金融交易產品,可帶來由槓桿作用而導致迅速虧損的高風險。 大部分的零售投資者帳戶在跟交易差價合約時錄得資金虧損。您應當考慮您是否充分明白差價合約如何運作,以及您是否能承受您的資金損失的高風險。

美國股市在連跌之後回歸漲勢

美國股市在過去兩周因美元主導地位而下跌後,重新恢復了上漲勢頭。 在無法突破105的強勁阻力位后,隨著美元指數走弱,市場似乎已逐漸回歸風險偏好模式。 這讓投資者有更多理由再次分散股票投資。

美國總統在新聞發佈會上發表積極言論,表示正在考慮減輕特朗普對中國商品徵收的關稅。 這一聲明為美國股市的投資創造了積極的環境。

從週一到現在,美國大部分股票都大幅上漲。

最近美國10年期國債收益率上升7個基點至2.86%,是投資者回歸風險模式的一個明確指標。

蘋果股價上漲4.1%;特斯拉上漲了1.67%;Netflix上漲了1%; Energy Transfer (ET)上漲1.44%;華特迪士尼公司上漲了3.33%;微軟上漲了2.97%;谷歌上漲2.37%;特斯拉上漲了1.66%。

指數方面,標普500指數上漲1.87%,US100指數上漲1.68%,道指上漲2%。

影響股票價格的主要因素是什麼?

三個主要因素決定投資者何時重返股市:

市場情緒

這是影響股票市場的一個重要因素。 當風險偏好模式處於高位時,股市和其他風險資產再次上漲。 風險規避法是指當投資者不願意承擔風險時。 目前很明顯投資者又重回押注模式。

利率

投資者傾向於回到風險較低的資產,並在利率高時購買政府債券。 然而,美元指數最近的下跌表明,投資者正在重返大宗商品和股票市場。

10年期美債收益率

10年期美國公債收益率的上升一直被分析師用來衡量投資者何時重返風險偏好模式,並準備買入股票和大宗商品。 美國10年期國債收益率上升表明,投資者購買政府債券的速度放緩。

我們可以發現這三個因素今天都具備,這表明目前的看漲勢頭可能會延續。

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