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风险因素支撑瑞郎 - (11month7day)

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Organization for Economic Cooperation and Development(OECD)周二发布的报告称,瑞士蓬勃发展的经济明年可能丧失一些动能,因从紧的货币政策及全球信贷危机发挥制约效应。但OECD警告瑞郎若重现突然性升值,可能对依赖于出口的瑞士经济造成重创。尽管通膨上升,但OECD呼吁瑞士央行在进一步升息方面采取灵活、缓慢的步骤,因为信贷危机的影响仍然不确定。OECD预测瑞士国内生产总值(GDP)今明两年各增长2.7%and2.1%。

瑞郎周三升至近三年来最高水准1.1348,因有关次优抵押贷款对美国银行进一步冲击的担忧在金融市场扩散。瑞郎因其传统的避险资产角色而受益。美国联邦储备理事会(FED)前主席格林斯潘和知名投资人索罗斯均警告称美国经济可能面临更多痛楚,并表示房市低迷还未展现出其对增长的全面影响。预估阻力在1.1350and1.13关口,关键阻力可看至1.12水平。支持位方面,则仍会以5Days and10天平均线作支撑点,目前分别位于1.1495and1.1560,此两区失守方见瑞郎有回调压力,下级支持将为25Balance moving average1.1690Horizontal.

(Analysis provided by Zongheng Huihai Research Department | www.MW801.com )
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