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pound : 英镑见回弱倾向 ▼▼  (12month12day)

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•Key support250dayMA 2.0010待检
•下降通道运行
•风险偏好回升打压英镑


英国国家统计局周二公布英国10The monthly trade deficit is71.15亿英镑,预估值为逆差74Billion,9月逆差修正为79.57One billion.10月英国对非欧盟国家的贸易逆差缩窄 幅度亦高于预期至44.16Billion pounds. Britain10月贸易逆差要较预期收窄,该数据给予英镑小幅的推动。周三将关注英国公布就业数据。

于周二纽约时段,英镑持续走高,受助于美国FED减息预期,英镑最高曾上探至2.0520水平;不过,希望越大,亦总是失望越大,联邦基金利率减息四分一 厘已先令市场带点儿沮丧;殊不知居然贴现率亦只减四分一厘,美元得到支撑,英镑则受压;而英镑还加插另一下挫元素就是股市挫低导致风险偏好回落,高风险之 高息英镑亦顺理成章亦为被抛售之对象,最低英镑曾试至2.0328。

技术形势所见,英镑周二虽然大部份时间都强势上试,但居然高位所及之2.0520亦刚好只碰及其早前跌破之上升趋向线,再讲2.05关口亦未能企稳,因此 未能成功将技术上之弱势扭转;此外,收市价亦见续为受压于10天平均线;再从基本因素看,无论英国本土之减息倾向,及利差交易之平仓风险,亦对英镑走势造 成不利,故英镑短期将见较大机会再往下试底。首个考验先为2.03水平,再而则应下访上周低位2.0180水平,同时亦为50日保历加通道之下轨位置,要 论到最关键则依然为250Balance moving average position2.00关口。要留意的是一旦2算失守,英国或会面临大挫之风险。反之,若今日可藉著美息结果而突破2.05Gateway, 则可望向上较有意义阻力则为25Balance moving average2.0605水平。另一方面,上方重要阻力则预期在2.05Gateway and50Balance moving average2.0560。
**Suggested strategy:2.0390沽出英镑,2.0460Stop loss,2.0200Closing target

Related news:

英国央行周一反驳一则关于其倾向于英国银行Northern Rock实现国有化的报导。Channel 4电视新闻援引高级消息人士的话称,英国央行现在认为国有化是Northern Rock的最佳选择。Northern RockExecutive DirectorBryan Sanderson周一称该公司的命运在圣诞节前不大可能见分晓。

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