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美元兑主要货币于2007年大幅度贬值,当前foreign exchange市场价格趋势已经严重超出经济基本面的支持,汇率脱离经济而行具有明显的投资和投机策略和技术因素的作用,而非经济基本状况的反应。尤其欧元上涨更具有强烈的策略组合因素。从货币政策到国际价格环境,欧元区复杂局面压力上升。目前的情形正令欧洲央行决策艰难,自身通货膨胀压力与外部降息对策,使欧元区认为这恐会令通胀输入的风险上升,而同时加大欧洲央行按兵不动的压力,美国降息是双刃剑,降息使得美元贬值,同时也将助燃通胀,导致欧洲央行两难处境,通胀和经济增长风险间的矛盾使欧洲央行不得已而维持利率不变。然而仍会预期08年初,欧元兑美元将瞄准1.50的水准进发,不过,当欧元再度上试1.50之际,欧洲官员或会再次表达对欧元汇率过强的不满,令欧元届时之升势或见步伐蹒跚。但若一再上探并突破1.50关口,则欧元将见更上一层楼之发展,下一级目标可见至1.56Horizontal.
短线走势方面,由11月尾形成之下降平衡通道,于上周终见明显突破,有望扭转近月之弱势,上望进一步目标可见至1.4750水平。以通道波幅400点计算,突破之延伸涨幅可望达至1.50Gateway.20日保历加通道上轨则见阻力于1.4840Horizontal,50日保历加通道上轨则见于1.4920水平。进一步则要留意在1.50关口前或会遇获利买盘之结仓而稍售回吐,但最终会否进而乘势攻破1.50关口,则几可视乎周五美国就业数据之公布结果。另一方面,支持位则可先参考5Balance moving average1.4585作参考,10The balance moving average is located at1.4480水平;预计较近支撑则在1.4590水平,为早前突破之下降趋向线位置,现视为重要之支持参考。

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