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据标普全球周二公布的初值数据,欧元区3Monthly comprehensivePMIfrom2Of51.9lower50.5,低于分析师预期的51, set a record for last year5月以来最低水平,但仍勉强守住50这一荣枯分界线。服务业PMI初值跌至50.1,远不及预期的51.1; manufacturingPMI初值则逆势升至51.4, creating45个月新高,好于预期的49.6。德国、法国同步降温。德国综合PMI超预期降至51.9。其中制造业意外走强,部分原因在于客户为规避战争带来的供应链风险而提前囤货。法国综合PMI超预期滑落至48.3,创五个月新低,连续三月处于荣枯线以下。标普全球首席商业经济学家Chris Williamson在声明中直言,"3Monthly EurozonePMI闪值正在敲响滞胀警钟——中东战争正在大幅推高价格,同时遏制增长。"他指出,随着能源价格飙升、战争导致供应链受阻,企业成本正以逾三年来最快速度上涨。
The data that needs attention today is the UK2monthCPIAnnual rate, UK2Monthly Retail Price Index Annual Rate, UK2Monthly and quarterly adjustment inputPPI年率、德国3monthIFO商业景气指数、美国2月进口物价指数月率和美国第四季度经常帐。
USD Index
The US dollar index fluctuated upwards yesterday, with a slight daily increase and spot exchange rates trading at99.10Nearby. Short covering and replenishment99.00关口附近所形成的技术面买盘对汇价构成了一定的支撑外,地缘紧张局势挥之不去,市场的避险情绪重燃也对汇价构成了一定的支撑。此外,时段内美国公布的经济数据表现良好也对汇价构成了一定的支撑。今日关注99.50Nearby pressure situation, supported below98.50Near.