[li]MEXQuantitative strategy year to date relative benchmarkS&P 500 Total Return IndexAnnualized alpha( α) by13%.The quantitative model adjusts positions weekly and places orders at the opening on Mondays and closes positions on Fridays, with each currency facing a standard hand,Suggest setting stop loss at0.3%。The net value of the portfolio increased last week3.16%,This week's combination and as of Beijing time3month30day07:10The 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 oscillating structures.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,但短期风险偏好的上升给黄金带来了压力。总的来看,我们还是维持黄金为震荡结构。[/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。但由于欧佩克和非欧佩克产油国未能达成共识,从4month1日开始,这些国家将不再受到生产上限或减产的约束。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的结构。[/li]
股指方面,市场预期美国众议院表决将通过2万亿美元的经济刺激法案,上周五港股高开高走。恒指午后涨幅进一步收窄,最终收涨0.56%。盘面上,体育用品股和内房股走高,华为概念股和苹果概念股走低。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。