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Swiss franc : 风险因险抑制瑞郎跌幅 —(12month11day)

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Focus:
•技术图表待变格局
•风险因素给予瑞郎支撑

瑞士通膨压力很可能上升,且第三季国内生产总值(GDP)强劲扩张,出口增长,这为瑞士央行继续采取逐步令利率正常化的策略打下基础。但央行最近的言论显示,央行理事担心未来几周信贷危机会进一步恶化,其对实质经济的损害仍不清楚。市场普遍预期瑞士央行将在周四维持利率于2.75%不变,但对于未来是否需要进一步升息,市场看法存在分歧。

瑞郎周一小幅上涨,之前瑞银集团意外宣布额外减记次优抵押贷款相关的100亿美元损失,给欧洲股市带来了更多不确定性。瑞郎有机会得益于其避险功能而上涨。股市走势不佳意味著投资者不太可能建立利差交易等高风险部位,因此有利于瑞郎等低收益货币。预计当前有10天平均线为首要阻力,目前处于1.1240水平,倘若瑞郎可再而回破此区,则有望瑞郎应可再行回试上月高位,预计先遇阻力在25Balance moving average1.1190and1.1000水平。反之,若1.1300/30区域终为明显失守,将使目前横行待变之RSIandSTC指标跟随转弱。若以gold比率计算,50%回调为1.14水平,至于扩展至61.8%You can see that1.1515水平。以保历加通道所见,较近之20日通道底部见于1.1490;另外,瑞郎于10月份曾遇阻力于1.16关口,至今亦可反观成关键支持参考。

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