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自今年2月29日创年内高点每盎司1792.2美元以来,纽约市场黄金期货价格一路震荡向下,进入5月以来更是在1540至1640美元之间波动,尽管盛夏期间市场表现稍有起色,但随着美联储(FED)在会议纪要中明确指出近期若无特别的紧急状况不会出台新一轮宽松措施,QE3推出的预期减弱背后,美元的相对强势令黄金价格承压。这使得投资者此前的预期落空,所有风险资产也应声下跌,而部分市场投资者更是预期黄金价格会下跌到1530美元左右。
Since February 29 this year, the highest intraday high of 1792.2 US dollars an ounce since the New York market, gold futures prices all along the way down shock into the May even more fluctuated between 1540 to 1640 dollars, although the market performance during the summer slightly improved, However, as the Federal Reserve (FED) pointed out clearly in the minutes of the meeting that gold prices will be under pressure from the relative strength of the U.S. dollar as the Federal Reserve (FED) clearly pointed out in the minutes of the meeting that no recent new easing measures will be introduced without a special emergency and the expected easing out of QE3. This makes investors expected the previous disappointment, all the risk assets also fell, while some market investors is expected to gold prices will drop to about 1530 US dollars.