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Crossing the Sea 2011year5month25day
Focus:
Wednesday
U.S.A4月耐用品订单、美国联邦住房金融局3月房屋价格指数
Thursday
Season 1 in the United StatesGDP修正值、GDP隐性平减指数、PCEprice index
美国一周初领失业金人数、堪萨斯联储银行5Monthly Manufacturing Index
G8Leaders Summit
Friday
U.S.A4Monthly personal income, personal expensesPCEPrice index, real personal expenditure
Reuters America /university of michigan 5Monthly Consumer Confidence Index
U.S.A4Monthly Housing Pending Sales
G8Leaders Summit
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5month30day (Monday)
American Memorial Day
Important economic data released today:
14:00 Germany6monthGfkConsumer confidence index‧forecast5.6‧Previous value5.7
14:00 Italy3Monthly retail sales rate ‧Previous value+0.10%
14:00 Italy3Monthly retail sales annual rate ‧Previous value+0.0%
14:30 英国第一季国内生产总值初值(GDP)Seasonal rate‧forecast+0.5%‧Previous value+0.5%
14:30 英国第一季国内生产总值初值(GDP)the annual rate‧forecast+1.8%‧Previous value+1.8%
20:00 U.S.A4Monthly building permit annual rate‧Previous value55.110000 households
20:30 U.S.A4Monthly durable goods orders‧forecast-2.2%‧Previous value+4.1%
20:30 U.S.A4Monthly deduction of durable goods orders for transportation‧forecast+0.5%‧Previous value+2.3%
22:00 U.S.A3月联邦住房金融局房屋价格指数月率‧Previous value-1.6%
22:00 U.S.A3月联邦住房金融局房屋价格指数年率‧Previous value-5.7%
22:30 EIAa weekcrude oilInventory data
Crude oil inventory‧forecast-13010000 barrels‧前值不变
Gasoline inventory‧forecast+3010000 barrels‧Previous value+1010000 barrels
Distillate oil inventory‧forecast+1010000 barrels‧Previous value-12010000 barrels
Yesterday's Market Summary
U.S.A4Monthly sales growth of new homes7.3%Annual rate32.310000 households
U.S.A4The median monthly housing price has increased compared to the same period last year4.6%
Richmond Federal Reserve Bank in the United States5The monthly comprehensive manufacturing index is negative6
Hong Kong gold interest rate on the previous trading day: high interest rate8element
Last trading day LondongoldMorning order price:1520.75
London gold afternoon trading price on the previous trading day:1527.00
London silver fixed price on the previous trading day:35.85
Today's Introduction
The US Department of Commerce announced on Tuesday that,4月经季节调整后的新屋销售年率增长7.3%, to32.3Ten thousand households, compared to last year12月以来最高,亦支撑房价。虽然该报告显示楼市有所改善,但新屋销售只是在底部反弹,并未改变认为经济仍处于疲软阶段的观点。二手房供应过多和止赎房产遏制了新屋市场,即使建筑商正保持低库存。上月可供销售的新屋较前月下降2.8%,至纪录低点17.5Ten thousand households.4月销售强劲使得市场上的新屋供应量仅能满足市场6.5个月的需求,低于3Of7.2个月,且为去年4月以来最低。上周公布的数据显示,4月新屋建设大幅下降,同时成屋销售亦下降。4月新屋售价中值较上年同期增长4.6%,分析师认为该涨势恐难以为继,指因新屋和二手房之间的价格差距仍很大。4月新屋和二手房之间的价差为54,200美元,表明此前二手房的销售价格要远低于建筑成本价。根据全美不动产协会(NAR)的数据,上月待售成屋达387万户。但分析师估计,如果将止赎房产和可能会被银行收回的房产计算在内,那么该数据可能介于700ten thousand-800万户。折价20%出售的房屋占每个月房屋交易的逾三分之一,分析师对新屋市场前景并不乐观。新屋占美国总体住房市场的约6%,住宅建设只占国内生产总值(GDP)极小的一部分。不过,住房市场通过对消费者信心的影响,亦会给经济带来更宽泛的冲击。疲弱的住房市场和高涨的汽油价格正损及消费者信心,并拖累成长。而缓慢的成长步伐料将使得美国联邦储备理事会(FED)暂时维持其极度宽松的货币政策。
London Gold
随着通胀推高全球利率,且美国联邦储备理事会(FED)of6000亿美元第二轮量化宽松计划(QE2)结束,市场将得面对不再有大量廉价资金的局面;此外,目前市场最大的宏观忧虑是欧元区二线国家问题。股市的调整可能非常迫近,而商品市场也许又将再面临一次调整。欧元兑美元一直在升值,做空美元的投机客获利;但若果美元利差交易逆转,则可能进一步促使石油和其它大宗商品市场大幅下滑。
伦敦黄金周二一度高见1527.45USD, for5month4日以来最高。高盛发布的对金属市场的乐观前景预期也提振贵金属和基本金属价格。高盛在一份报告中称,他们预计金价在2011年继续攀升,前提是假设美联储的量化宽松政策令实际利率保持在低位。不过,其预计美国的实际利率将在2012年初开始攀升,可能导致金价在明年触顶。晚市金价从高位回落,因数据显示美国4月新屋销售增长意外强劲,连续第二个月出现增长。此外,圣路易斯联储总裁布拉德发表的讲话亦限制黄金走势。他表示,如果经济复苏进展顺利,美联储可能在今年下半年撤走超宽松货币政策,但将在数次会议上保持货币政策不变。
技术走势所见,金价在连升三日后,周二高位受制1527水平,要留意金价在月初急挫中的反弹,其高位亦在附近的1526水平,故要慎防若金价未能在此区作进一步攀升,有出现短期调整之倾向。较近支持预计在1516; and9天平均线目前会转换角色成为重要承托,若然回破此区下方,则此前假设的突破上探行情将告失败,9The balance moving average is currently in1503水平。向下延伸位置则预计在1489and1479Horizontal, the latter being50天平均线位置所在。至于向上若可持续上试,以月初的一行跌幅计算,61.8%之回檔位1532.50美元为下一个延伸目标,继后阻力预计在1538and1548USD.
SPDR Gold TrustGold holdings:
5month11day - reduce one's shares in a listed company0.90951Tons to1201.04481ton
5month12day - reduce one's shares in a listed company7.88230Tons to1193.16251ton
5month13day - reduce one's shares in a listed company0.90949Tons to1192.25302ton
5month18day - reduce one's shares in a listed company0.90944Tons to1191.34358ton
5month20day - Increase holdings10.60986Tons to1201.95344ton
5month23day - Increase holdings7.57826Tons to1209.53170ton
5month24day - Increase holdings4.54692Tons to1214.07862ton
London Gold 5month25day
Predicting early wave amplitude:1516 - 1533
Resistance level:1538 - 1548
Support bit:1507 - 1489
London Silver
伦敦白银周二突破窄幅争持行情,由接近35水平升上最高36.68。在技术上,只要银价未有回落至前期之争持区间的顶部35.70之下,则仍有望银价之延伸上试行情持续,当前面临的测试阻力预计在36.90and37.60US dollars, further targets can be seen38.10US dollars. Calculated by the golden ratio,38.2%之反弹水平更至38.93美元。另一方面,下方支持预计在36.10and35.60美元。目前图表见连接2010year8Month and this year1月低位的一道重要趋势线,亦为银价提供重要依据,该趋势线现处于32.94美元,为一重要支撑参考。
iShares Silver TrustSilver holdings:
5month10day - Increase holdings21.24Tons to10585.99ton
5month11day - reduce one's shares in a listed company45.51Tons to10540.48ton
5month12day - reduce one's shares in a listed company24.27Tons to10516.21ton
5month13day - Increase holdings18.20Tons to10534.41ton
5month16day - reduce one's shares in a listed company51.58Tons to10482.83ton
5month17day - Increase holdings4.55Tons to10487.38ton
5month18day - reduce one's shares in a listed company40.95Tons to10446.43ton
5month19day - reduce one's shares in a listed company242.70Tons to10203.73ton
5month20day - reduce one's shares in a listed company51.57Tons to10152.16ton
5month23day - reduce one's shares in a listed company15.17Tons to10136.99ton
5month24day - reduce one's shares in a listed company51.57Tons to10085.42ton
London Silver 5month25day
Predicting early wave amplitude:36.10 - 36.90
Resistance level:37.60 - 38.10
Support bit:35.60 - 34.30
euro: 危机扩散拖累欧元
Highlights:
穆迪警告称,希腊违约将打击其它欧盟债务国
希腊表示没有欧盟担保,IMF将不提供更多援助
Greek opposition party leaders oppose new spending reduction plans
Suggested strategy:
1.4090Sell Euro‧1.3920Closing target‧1.4150Stop loss
Estimated wave amplitude:
resistance –1.4165 - 1.4345* - 1.4425** - 1.4500
support –1.3975* - 1.3905 - 1.3800 - 1.3665
Focus:
GermanyGfk 6月消费者信心指数、意大利3Monthly retail sales
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Thursday--France5月消费者信心指数、意大利5Monthly Corporate Confidence Index
Friday--Germany5monthCPI、HICPinitial value
eurozone4Monthly private sector loansM3Annual increase rate of goods supply
eurozone5Monthly Enterprise Prosperity Index, Economic Prosperity Index, and Consumer Confidence Index
穆迪周二警告称,如果放任希腊下月违约,将给欧元区带来严重的连锁反应。下月希腊将面临134亿欧元的融资缺口。希腊周一启动先前处于停滞状态的私有化进程,并承诺采取更加严格的节支措施和增税,以满足欧盟/International Monetary Fund(IMF)提出的要求,在6月获得其120亿欧元贷款。这笔资金对于防止希腊违约非常关键。然而,希腊保守派反对党领袖萨马拉斯(Antonis Samaras)拒绝新财政措施计划,这样就丧失了获得欧盟额外财政援助的一个重要条件,即各政党就支持改革达成一致。希腊公共部门工会号召在6月举行为期24小时的罢工,突显了公众对进一步节支的反感。倘若希腊违约将严重破坏稳定,且将影响欧洲发行者的信誉,因此亦可能令其它受困主权国家债信评级从投资级调低至垃圾级,令他们与欧元集团最强大借款国债信评级之间的差距扩阔。至关重要的是,欧洲央行和评级机构已警告,他们正探讨延长私营部门持有的希腊债务期限,这将被理解为类似违约的"Credit events",引发希腊评级进一步下调和希腊债券丧失作为抵押品的资格。穆迪称,即使自愿调整主权债券的条款和条件,或选择性地重新包装希腊债务,也将被视作违约。这似乎让欧盟只剩下延长对希腊官方贷款期限和进一步降低利率的选项了,同时给予雅典一个补充性援助计划来满足2012/13财年借款需求,作为额外削减赤字和私有化承诺的交换条件。另外,希腊财长帕帕康斯坦季努周一称,IMF不会支付其6月援助资金份额,除非欧盟保证满足希腊2012年的融资需求。希腊在2010年底公共债务达3270亿欧元,差不多相当于其国内生产总值(GDP)of150%,料到2013年将超过160%,市场分析师认为这是根本无法持续的水准。在上周贾克称欧盟正在探索某种形式的"软重组"后,欧央行对重组的反对立场愈发强烈。欧央行决策者曾警告称,在央行再融资操作中将不再接受希腊债券作为抵押,这将把希腊银行和保险商推至绝境,导致对希腊企业放贷的欧洲银行业者承受巨额债务。
希腊重组债务的可能性令欧元承压,市场也对西班牙和意大利的财政状况感到不安。在信贷评等机构下调了意大利和比利时的评等展望,且西班牙执政党在地区选举中挫败令市场对政府实施财政撙节措施的承诺产生质疑后,对欧元区债务危机蔓延的担忧升温,周一曾低见1.3968. stay5Touched at the beginning of the month1.4939的高位后,欧元已下跌了约6%,周二稍有喘息,因5月德国企业信心强于预期,欧元最高曾回升上1.4132。但周三早盘又见再复下滑,有关希腊将提前举行大选的传言令投机性卖盘增加,早盘再度迫近1.40Gateway.
图表走势分析,短期支撑预计在100Balance moving average1.3975,周一低位亦见刚好守着100天线之上,但若果后市将这一道防线也冲破,将会激发延伸弱势;往后支撑将会见至1.3905and1.38水平。倘若跌幅见进一步深化,则会会下试目标至1.3665。上方阻力预估在10Balance moving average1.4165,之后挑战的重要阻力区为50Balance moving average1.4345,可突破将释放更强烈上升讯号,紧接关键将为25Balance moving average1.4425,由于前期之上升趋势明显见25天平均线为重要支撑承托,故能回返此区之上,具有莫大的技术意义。预计之后延伸上试目标将会看至1.45Horizontal.
Related news:
‧德国联邦统计局周二宣布,第一季国内生产总值(GDP)修正值为较上季升1.5%, up from the same period last year5.2%。国内需求对经济成长的贡献为1.0个百分点,作为德国经济传统支柱的出口为经济成长贡献了0.5Percentage points.
‧欧盟统计局周二公布数据,欧元区3Monthly industrial orders have declined compared to the previous month1.8%Increase compared to the same period last year14.1%;预估分别为下滑1.3%And growth12.8%. Eurozone2Monthly industrial orders have been revised to increase compared to the previous month0.5%Increase compared to the same period last year21.5%;前值分别为增长0.9%And growth21.3%。
‧西班牙发行13亿欧元六个月期债,平均收益率1.766%,前次为1.867%。投标倍数5.5。西班牙发行10亿欧元三个月期债,平均收益率1.380%,前次为1.371%,投标倍数6.6。
‧欧盟主席范龙佩称,希腊若重组债务将加重欧元区债务危机,欧盟决心避免违约。
‧道琼斯周二援引欧洲央行(ECB)管理委员会委员Lipstok的话称,希腊债务重组目前不应在讨论范围内,软重组(REPROFILING)在实质上仍相当于重组,这不在议程之内。
yen: Struggle for change
Highlights:
Japan4Monthly exports decreased compared to the same period last year12.5%
Japan4The monthly trade deficit is4637Billion yen
The Japanese government5Monthly assessment of the overall economy remains unchanged, but capital expenditure estimates have been lowered
Estimated wave amplitude:
resistance - 82.20 - 82.60 - 83.30 - 83.75 - 85.50
support - 81.30 - 80.00 - 79.00 - 77.80
Focus:
Wednesday--Japan4月进口、出口、贸易收支、央行会议纪录
Friday--Japan4monthCPI、5Overall Tokyo regionCPI
Japan4Monthly retail sales
Tuesday's data shows that Japan4月出口较上年同期大幅减少,符合预期。3month11日的地震导致汽车厂商产量下降,拖累了出口。该数据更加令人认为,4-6月日本经济将连续第三个季度萎缩,但可能在随后恢复增长。这符合日本央行的展望,意味着央行可能不会采取更多的放松措施,除非出现意外变故。政府数据显示,出口较上年同期下降12.5%,与市场预期的下降12.4%大体相同,3Monthly decline2.3%。4月经季节调整的出口较上月下降5.5%,3Monthly decline8.3%. Imports increased compared to the same period last year8.9%,低于市场预期的增加12.3%,暗示重建需求还未如预期般强劲,国内需求疲软。4Monthly trade deficit4637亿日圆,为三个月来首度录得逆差,也是1980年以来首个4月逆差。对中国出口较上年同期下降6.8%, for2009year10月以来首次出现同比下滑。对美国的出口减少23.3%。分析师预计,灾害将导致日本第二季产生贸易逆差,因为核电站的核泄漏促使一些国家暂停进口日本商品。不过,随着供应紧张形势缓解,第四季贸易料将恢复顺差。日本汽车业是其出口导向型经济的主要驱动力。但发生9.0地震以来,汽车厂商已削减产量,因零件厂商供应短缺。
日本政府周二公布,5月维持对整体经济的评估不变,但下调对资本支出的预估,因3月发生的地震、海啸和核危机损及供应链和生产活动。政府自2009year12月以来首次调降资本支出预估,因供应约束使得企业难以投资。但日本政府亦称,鉴于相对稳固的机械订单数据,日本企业着手于资本支出的意愿并没有消退。政府的最新评估大致与日本央行的观点相同;央行上周维持对经济的看法不变,指称由于地震的影响,遭受到巨大的下行压力,在此同时央行维持超宽松的货币政策不变。日本内阁府的最新报告称,由于3月的地震,商业投资"近来减弱"; and3月的报告则称商业投资在"好转"。日本政府维持对经济前景的看法,称经济受震灾影响这阵子将维持疲弱,但经济将会随着生产恢复而回升,反映海外经济体强健表现和各类政策措施的提振作用。日本政府同时警告称,电力供应紧张,供应链恢复进展缓慢,福岛核危机的影响和油价上升,均构成经济下行风险。这份报告中,日本政府维持对工厂产出和出口的看法不变,指称其近期已经下滑。大多数经济学家预测,日本经济在4-6月将再度陷入萎缩,但会在今年下半年回升,因得益于灾后重建努力和供应紧张状况好转。
图表走势分析,美元兑日圆持续陷于窄幅争持,向上受制100Balance moving average, see below25The balance moving average is already supported. At this stage, we will start with100Balance moving average82.20为参考阻力,上周亦见美元受阻于此区,若终可出现突破应见较明显之后续上扬走势,扩展至50%and61.8%The gear shift will show82.60and83.30Another important resistance is250Balance moving average83.75Horizontal, the key will point towards85.50Horizontal. On the other hand, closer support is expected to be25Balance moving average81.30and80Horizontal; Further support will be provided at79and77.80水平。但由于美元目前尚处于小型上升通道中,故此,仍会偏向于向上出现突破之机会较大。
Related news:
‧日本央行周三公布的4month28日会议记录显示,一位决策者称进一步放宽货币政策的需要上升,与央行副总裁西村清彦倾向于进一步采取行动以支撑经济的立场相同。西村清彦提议扩大日本央行资产购买规模,称家庭和企业信心进一步恶化的风险上升。另一位审议委员称,鉴于日本的经济前景,进一步放宽的必要性上升,但目前重要的是研究额外举措的细节和时机。日本央行在4month28日的会议上维持货币政策不变,但西村清彦呼吁扩大资产购买规模,令市场感到惊讶。该提议以1:8的投票遭拒绝,西村清彦在5月的会议上没有提出同样的建议。
‧日本经济财政大臣与谢野馨周二称,预计始于4month1日的本财政年度日本国内生产总值(GDP)增长率或放缓至0.6-0.7%。而就在一周前,他还给出了一个较为乐观的预估,同时警告称会面临持续的挑战。与谢野馨上周表示,2011/12年度经济或增长近1%。与谢野馨在内阁会议后的新闻发布会上称,供应链完全恢复可能需要时间,电力供应紧张和消费者及企业信心恶化亦损及经济。日本央行上个月下调了其对当前财年的经济成长预估,自三个月前预估的成长1.6%Down to0.6%。但央行同时预计下一年度经济增长将提速。日本政府当前预计2011/12财年经济将成长1.5%,但未来几个月可能修正此预估。截止3月的财年中,日本经济增长了2.3%。
pound: 走势愈趋黯淡
Highlights:
MPCCommissioner Fisher: Now, raising interest rates would be an absolute mistake
britain5Monthly retail sales difference drops to positive18 --CBIinvestigation
Moody's threatens to downgrade to the UK14Home bank rating
britain4Shortfall in monthly public sector revenue and expenditure32.59£ 100 million, net borrowing from the public sector77.13Billion
Estimated wave amplitude:
resistance - 1.6215 - 1.6300 - 1.6400 - 1.6425 - 1.6500
support - 1.6100 - 1.6000 - 1.5930 - 1.5800
Focus:
UK Season 1GDPCorrection value
---------------------------------------------------------------
Friday--britainGfk/NOP 5Monthly Consumer Confidence IndexNationwide 5Monthly housing price index
The UK Office for National Statistics announced on Tuesday that the UK4The monthly shortfall in public sector revenue and expenditure is32.59亿英镑,调查预估为盈余10£ 100 million, with a surplus in the same period last year58.34Billion pounds. Britain4The monthly net borrowing from the public sector is77.13100 million pounds, estimated to be53.5Billion pounds, compared to the same period last year52.51Billion pounds. Britain4月公共部门凈借款状况为历来4月最差。英国财政部周二表示,4月公共财政受到了一次性因素的影响,而政府仍在推进削减负债的举措。
英镑兑美元周二从七周低位1.6059反弹,因投资者回补之前因穆迪威胁将调降部份英国银行评等后建立的空仓,但预计英镑走势仍陷挣扎,市场担忧英国银行业且英国经济复苏迟滞。穆迪周二称可能调降14家英国银行的评等,其中不乏一些全球性大银行,因监管机构未来似乎不太愿意救助它们。而周二数据显示,英国4月公共部门凈借款状况为历来4月最差;且英国货币政策委员会(MPC)委员费希尔称,现在来说升息会是绝对错误的做法;但消息均未对市场产生大的影响。
以美元指数走势看,周一突破76.00上方的阻力,该位置约为1Month to5Falling under the moon38.2%回档技术位,亦为上周美元回落前触及的高位。当前阻力料会先为100Balance moving average76.55,预计若可扩展至50%的回档位将会在77.00附近,较大目标则会看至200Balance moving average78.10。下方支撑回首以75.80/76.00为依据,未能持稳其上,则上升趋向未得确认;较大支撑则在50Balance moving average75.05。
英镑兑美元方面,短线支撑位见于1.61的大型趋向线支撑,而目前向下将见探试着一个重要支持位在1.60关口,此区亦告失守,将会引发延伸一浪之跌幅。预料支撑位将看至200Balance moving average1.5930and250Balance moving average1.5800. The upper resistance is seen in10The antenna is in1.6215,之后延伸上试目标预估可看至近期之区间阻力1.63,返回上方将是英镑重新走稳的迹象。下一级阻力估计为25Balance moving average1.64Horizontal.
Related news:
‧英国货币政策委员会(MPC)委员费希尔周二表示,现在来说升息会是绝对错误的做法,在升息前应先让英国经济有复苏的时间,没什么证据显示通胀预期带动薪资和物价循环;经济成长前景有立即的下档风险, 甚至有可能会需要进一步宽松措施。
‧The Monetary Policy Committee of the Bank of England(MPC)委员威尔在接受Nottingham Post采访时表示,若提早升息,升幅或许不用很大。
‧信用评等机构穆迪表示,可能调降包括Lloyds、苏格兰皇家银行在内的14家英国金融机构的评级,因英国监管机构未来提供纾困的意愿看来不高。另外可能遭调降评等的知名金融机构还包括Ireland UK、Santander UK,其余多为抵押贷款机构。另外穆迪维持汇丰控股评等展望于"负向"。
‧British Industrial Alliance(CBI)Announced on Tuesday,5The monthly retail sales difference is positive18,高于预估的正10。4The monthly retail sales difference is positive21。6月零售销售预期差值为正14。
Swiss franc: 横盘整固
Estimated wave amplitude:
resistance - 0.8850 - 0.8950** - 0.9200 - 0.9340
support - 0.8700 - 0.8590 - 0.8505
Focus:
Thursday--Switzerland4Monthly trade balance
Friday--SwitzerlandKOF 5Monthly leading indicators
美元兑瑞郎本周延续横盘持稳的走势,大致盘整于0.87to0.89区间。预计美元较近支持在0.87and0.8590Horizontal, the next level of support can be seen in50Bottom of the weekly calendar and channel0.8505。由于美元兑瑞郎目前尚见处于起始自一月份的下降通道内行驶,下行趋势料仍持续,除非通道顶部突破,才见形势出现逆转。目前通道顶部位处0.8850,估计后市若出现破位,下一级将会看至50Balance moving average0.8950Due to4At the beginning of the month, we also saw this indicator blocking the rise of the US dollar. It is estimated that only after breaking through this area can we see a more clear upward trend, and the extended target will be seen100Balance moving average0.92To the extent that4month1Daily high0.9340。
AUD: 短期防线失守
Estimated wave amplitude:
resistance - 1.0590 - 1.0720 - 1.0880* - 1.1010
support - 1.0475/1.0500** - 1.0360 - 1.0205
Focus:
Wednesday--澳洲第一季建筑支出
Thursday--澳洲第一季资本支出、工厂/设备资本支出、建筑资本支出
澳元周三早盘走低,再度跌破1.05支撑,更见下破周初低位,进一步试至1.0430水平。对希腊财务状况和欧洲债务危机蔓延的忧虑重燃带来压力。图表走势所见,当前阻力预计在10Balance moving average1.0590,较大阻力预估为1.0720,之后的瞩目阻力应为5month11Daily high1.0888。估计较近之后续阻力则可先参考1.1010之本月高位。另一方面,由于澳元已回返1.05下方,料将见澳元之下调空间作进一步扩展,延伸至50%and61.8%The rollback levels are as follows:1.0360and1.0205. In addition, attention should also be paid to1.02为原先在一至三月份的上阻关口,故亦成目前的关键支撑,失守澳元形势将更为严峻,有机会继续直试1.00Gateway.
Related news:
‧澳洲第一季建筑完工价值经季节调整后较前季增加0.7%, estimated to increase1.5%。
New Zealand dollars: Struggle for change
Estimated wave amplitude:
resistance - 0.7940 - 0.8000* - 0.8100 - 0.8200
support - 0.7850 - 0.7800* - 0.7730 - 0.7615 - 0.7500
调查结果周二显示,纽西兰通胀预期在第二季升高,而未来一年经济增速料降低。纽西兰央行的这份季度调查显示,企业经理人预计未来一年通胀年率平均为3.12%, higher than2月时的上次调查结果2.9%。两年通胀预期从2.64%Ascend to3.0%。 by3month31日一年,通胀年率触及4.5%的两年半高位,主因燃料涨价和销售税上调。调查亦显示,未来一年经济料增长2.1%,不及上次调查结果2.5%。未来两年经济增速预估从2.6%Ascend to2.8%。分析师预计纽西兰经济料于今年稍晚提速,受助于举办橄榄球世界杯,基督城的震后重建,以及对大宗商品的旺盛需求持续不断。
纽元兑美元周二上扬,纽西兰超预估的通胀预期促使市场考虑,纽西兰央行可能会比预期的更早收紧政策。纽元兑美元一度升至0.8015美元的高位。然而,周三早盘亚洲股市普遍承压,又促使纽元回挫,下探至0.97水平。图表走势所见,由于纽元本月大致维持于0.78to0.80区间上落,后市需见突破此区间才可确定较明确走向。以黄金比率计算,38.2%and50%The gear shift will show0.7730and0.7615Expand to61.8%Then it is0.75Horizontal. The upper resistance is estimated to be0.80关口,至于5month2Daily high0.8119则仍会是关键阻力所在,破位下一级上试目标将看至0.82Horizontal.
Cad : 商品承压拖累加元
Estimated wave amplitude:
resistance - 0.9850 - 1.0000 - 1.0060
support - 0.9720 - 0.9650* - 0.9570 - 0.9400
在新一轮警告声中,对欧洲债务危机的担忧升级,且市场继续缩减对加拿大升息的预期。油价和金价上涨未能惠及加元,因对欧元区债务危机蔓延的担忧刺激了避险买盘。在欧洲央行和评等机构对即便是自愿性债务再安排发出警告,以及希腊强调急需更多欧盟金援后,欧洲要避免希腊债务重组的政策选择范围迅速收窄。
美元兑加元周三早盘升上0.98水平,技术上突破100天平均线阻力,历时五个月美元兑加元之升幅多次受100天线限制,因此闯过此区视为转强的重要迹象,而近月走势亦是处于上升通道中,故当前预料会有进一步上升倾向。信道顶部目前处于0.9850And then the goal will be to see1.00Gateway and250Balance moving average1.0060. Reference for support position10Balance moving average0.9720The key lies in50Balance moving average, currently in0.9650The next level of support will be extended to0.9570and0.94Horizontal.
financial news
The US Department of Commerce announced on Tuesday that the United States4Monthly sales of new homes increased compared to the previous month7.3%At an annual rate of32.310000 households, estimated to be30Ten thousand households.3Revised monthly to30.1Ten thousand households, with a previous value of30Ten thousand households.
The Federal Reserve Bank of Richmond in the United States announced on Tuesday,5The monthly comprehensive manufacturing index is negative6,4Month is positive10。
Redbook ResearchThe report released on Tuesday shows that,5month21Sales of US chain stores increased compared to the same period last year for the week ending today3.4%。2011year5Monthly sales of chain stores increased compared to the same period last year4.0%,料较前月下滑2.6%。
International Shopping Center Association of the United States(ICSC)According to a report jointly released by Goldman Sachs on Tuesday,5month21The sales of US chain stores in the current week have declined compared to the previous week1.0%。
美国联邦储备理事会官员表达对美国经济复苏的信心,即便当前油价高企且欧洲债务忧虑加剧。圣路易斯联储总裁布拉德认为,若经济顺利复苏,美联储或应在今年改变其极度宽松的货币政策。美联储理事杜克则称高油价打击消费者,陷入油钱和缴房贷两难。克利夫兰联邦储备银行总裁皮亚纳尔托认为,尽管近期油价上涨,但经济根基更为稳固;不过通胀忧虑攀升,危及此前取得的成果。
American crude oilfutures周二反弹近2%,此前高盛上调布兰特原油价格预估值、美元走软并且经济数据显示美国4月新屋销售较上月增长。盘中交投震荡,近月7月合约触及每桶100.09美元的盘中高位后,油价在中午时分削减涨幅,因一部分投资人获利了结。NYMEX-6monthRBOB汽油期货稍早一度升穿每加仑3美元,亦给原油期货合约提供部分支撑,随后有消息称加拿大Irving Oil重启曾在本周初关闭的汽油生产设备,该合约缩减涨幅。交易商再度关注一周库存数据,路透访查的分析师预计上周美国国内原油库存减少130万桶,馏分油库存料增加10万桶;汽油库存料增加30Ten thousand barrels. After the closing, the American Petroleum Institute(API)Announcement: US crude oil inventories have decreased in the past week86Ten thousand barrels; Increase in gasoline inventory240Ten thousand barrels, reduced inventory of distillate oil84.6Ten thousand barrels.NYMEX-7Monthly crude oil futures closed higher1.89USD, or1.93%The settlement price is99.59USD, intraday trading range is96.61-100.09美元。高盛将年底布兰特原油价格预估由每桶105The US dollar has been raised to120美元;将2012年底的油价预估由每桶120The US dollar has been raised to140美元;称燃料油需求增长将令全球库存减少,以及OPEC的闲置炼油产能将面临压力。高盛的同业对手摩根士丹利也将2011年布兰特原油价格预估上调至每桶120美元,此前预期为100dollar;同时上调2012年布兰特原油价格预估至每桶130美元,此前预期为105USD.
American Petroleum Institute(API)On Tuesday, it was announced that crude oil inventories in the United States have decreased in the past week86Ten thousand barrels, gasoline inventory increases240Ten thousand barrels, reduced inventory of distillate oil84.6Ten thousand barrels.
发展中国家称,现在到了该结束IMF总裁一职由欧洲人把持的"过时"传统的时候,即便法国经济部长拉加尔德在接替施特劳斯-卡恩担任IMF总裁的竞争中处于领先地位。金砖国家中国、印度、巴西、俄罗斯和南非联合批驳了欧洲官员有关下一任IMF总裁应自动继续由欧洲人担任的建议。金砖国家在联合声明中表示,IMF总裁的推选应建立在能力,而非国籍基础之上,呼吁"放弃过时的IMF总裁必须由欧洲人担任的惯例。"
Emperor Financial Group Zongheng Huihai Analysis Department
(The above column content is the author's personal professional opinions and is sincerely for readers' reference; I would like to remind readers that financial market volatility is unpredictable and they must be cautious of risks) |
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