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Focus:
‧阻力参考104.10‧102.90‧102.00/101.90
‧支撑参考105.00‧105.60**‧106.00‧108.60/75
**Suggested strategy:
104.30沽出日圆,103.40Stop loss,108.50Closing target
日本经济产业省周四公布数据显示,4月零售销售较上年同期成长0.1%,低于预估中值的成长0.5%。较上月则下跌0.1%,3月份为上升0.4%。
日本央行总裁白川方明周三表示,各央行在引导货币政策时,不但需注意通膨,还需全面关注经济情况。尽管通膨冲上10年高点,日本央行上周才决议维持货币政策不变,并称是因全球经济前景不确定,且能源和原物料价格大涨。由于能源成本升高,日本3Monthly National Consumer Price Index(CPI)Increase compared to the same period last year1.2%, with an increase of1998year3Monthly increase1.8%以来最高。白川方明指出,1980年代日本的泡沫经济及之后的破灭,都是货币政策及其它经济动力间复杂而微妙关连的左证。他表示日本经验和目前美欧金融动荡有若干相似处。
日圆周三低见至105.32,正正触及近月低位筑成之趋向线,估计日圆再拓展跌幅至105.60水平,将见明确构成双底破颈线之技术走势,约300之延伸幅度将可看至108.60Horizontal; At the same time, it can also be seen that200The balance moving average is located at108.75水平,亦可构成参考支撑。至于阻力关键则为50Balance moving average102.90水平,之前5个交易日日圆屡屡高试,未可摆脱此指标之制肘,故突破升势将可望形1成,之后目标指向102水平。较阻力则预计在5Balance moving average104.10Horizontal.
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日本财务省周四公布的资本流动数据显示,外资上周买超日股647亿日圆。但在上周政府公债市场遭逢抛压期间,外资卖超日债4,929亿日圆。在5month24日止的五周内外资出脱日债达2.02兆。