[li]On the UK side,就目前来看,英国首相约翰逊的状态还不错,市场忧虑情绪有所缓解,叠加美元的回落给予了英镑一定支撑,考虑到市场讨厌不确定性,我们认为英镑恐将中期承压。Technically,1.2200有较强brace,但上方1.2400同样具备一定压力。[/li]
[li]In terms of commodity currency,因疫情有缓解迹象提振全球股市,澳元、纽元和加元表现领涨。另外,澳元也受惠于澳洲联储表示如果市场状况持续改善,则可能放缓购买债券。技术上,短期澳/beautiful0.6200、纽/beautiful0.6050还将面临一定压力,不过,我们认为冲破是大概率事件。[/li]
[li]In terms of safe haven currencies,美联储的强力无限制宽松措施,连同疫情降温之后全球市场对美元需求的回落,令美元指数承压回落。however考虑避险和对现金的急切需求仍然在,我们认为美元短期恐难有太大下行空间。[/li]
[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%。组合净值上周下跌0.30%,This week's combination and as of Beijing time4month8day07:05The 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,全球低利率为黄金提供了支撑。但也因主要疫情重灾区确诊病例增长放缓的迹象提振股市,令黄金的避险吸引力有所降低。总的来看,我们还是维持黄金为震荡偏强结构。[/li]
[li]In terms of oil prices,受原油供应不断增加和冠状病毒大流行导致的燃料需求疲软影响,同时投资者也对全球主要产油国将很快同意一起减产的预期变得更加谨慎油价回落。我们还是原来的观点,短期不可能解决供应过剩局面,中期偏弱的结构还未变,短期油价报复性反弹,更多像多头反扑形成技术性反弹。[/li]
[li]股指方面,市场继续憧憬全球新型肺炎疫情见顶,港股午后突破上午高位,续创3month13日以来新高,收盘涨2.12%。板块方面,体育用品板块和半导体板块整体录得上涨。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,25000It's a lot of pressure, below22000是短期支撑 。[/li]