[li]On the UK side,周四晚间,英国央行宣布维持利率不变,此外维持6450亿英镑债券购买规模不变。这和我们昨天的预测较为吻合。另外,英国就疫情采取的封锁措施也触发英镑反弹。随着市场情绪的改善,我们认为英镑可能进一步上扬。Technically,1.2400以上将面临较大压力。[/li]
[li]In terms of commodity currency,随着全球股市的上涨,市场情绪改善,叠加美元指数的逐步走低,澳元、纽元逐步反弹。但,考虑到澳大利亚将从本周开始实施更多的全面停运,这将进一步减少经济活动。因此,澳元后续反弹的力度或许会受到一定的限制。技术上,澳/beautiful0.6200、纽/beautiful0.6050短期将面临压力。[/li]
[li]In terms of safe haven currencies,beautiful2万亿美元经济刺激提案基本上板上钉钉,加上初请失业金人数升至328.3万人,美元回落。但考虑避险和对现金的急切需求,我们认为美元恐难有较大幅回落,DXY下方可关注98.5brace。[/li]
[li]It is worth noting that the money market plays a crucial role in2019The year shows a stable and significant weekly momentum reversal effect,MEXThe momentum reversal quantization strategy has repeatedly set new highs as a resultInvestors2020You can continue to refer to our weekly suggested combination for the year.[/li]
[li]MEXQuantitative strategy year to date relative benchmarkS&P 500 Total Return IndexAnnualized alpha( α) by13%.。组合净值上周下跌2.00%,This week's combination and as of Beijing time3month27day07:06The profit and loss are as follows, with a positive spread (storage fee).[/li]
commoditymarket
[li]Trading preference –This week we will maintaingold(XAU)Andcrude oil(WTI)For structures with excessive oscillations.长期来看,全球低利率和持续的流动性注入为贵金属提供了上涨的条件。另外,G20峰会显示,二十国集团将启动总价值5万亿美元的经济计划也刺激了黄金需求。总的来看,我们还是维持黄金为震荡偏多结构,但短期升幅过大有修整预期。[/li]
[li]In terms of oil prices,虽然经济刺激计划和股票市场的上涨,使得市场风险偏好情绪继续回暖。但因需求忧虑盖过了刺激效果,因此,我们维持油价是一个中期偏弱短期有reboundof结构。[/li]
[li]股指方面,市场憧憬全球将有更多经济刺激措施,港股周四高开,午后震荡走低,尾盘加速下行,最终收跌0.74%。盘面上,石油板块跌幅居前,医疗保健股和阿里概念股强势收涨。考虑到全球市场依然疲弱,建议近期投资者以防御为主。技术形态上,24000It's a lot of pressure, below21500是短期支撑。[/li]