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euro/美元显示短中线向空,短线向空

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欧洲股市周二收低,回吐了稍早的涨幅,主要原因为石油、矿业和钢材股的下跌抵消了金融股的上涨。泛欧绩优stock market index数收低0.6%Report1,155.66点。能源和石油股据跌幅榜前列,主要受累于美国crude oilfutures挫2.3%。因美元走强,且对飓风艾克将威胁墨西哥湾炼油设施的担忧得到缓和,油价大幅下挫。法国石油公司道达尔(Total)下挫2.4%,英国石油(BP)fall1.9%。采矿股尾随金属价格下跌而走低,其中必和必拓(BHP Billinton)、英美资源集团(Anglo American)、Lonmin、Kazakhmys、Xstrata、Antofagasta、Eurasian Natural Resources与力拓(Rio Tinto)分别大跌5-8%不等。金融股表现继续优于市场,但回吐了稍早的升幅。个股方面,德意志银行(Deutsche Bank)rise3%,巴克莱(Barclays)rise3%。欧洲三大股市收盘,英国FTSE100Index decline0.56%Report5,415.6点;德国DAX 30指数下滑0.48%Report6,233.41Point; FranceCAC 40Index decline1.08%Report4,293.34Points.
Euro/美元昨日冲高1.4225,日低1.4047,尾盘在1.4130附近整理;日升跌率0.043%,日涨跌幅0.0006, received at1.4132。
  技术指标显示,汇价的短期日均线系统呈空头排列,汇价位于其下及30Daily moving average(1.4807)之下,显示短中线向空,短线向空。汇价若受压于1.4180、1.4230之下则短线向空,上挡压力位于1.4430,下挡支撑位于1.4080、1.4030;1.4230And1.4640(中位1.4430)分别为汇价短线向空与向多的分界线。
  今日,汇价有望震荡整理或震荡盘跌测试支撑。
今日强压力1.4230,弱压力1.4180;强支撑1.4030,弱支撑1.4080。
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