论文部分内容阅读
普遍是主权债券和发达国家股票市场表现不错,而新兴市场的股票市场和商品之表现则未见乐观随着中国金融改革和国际影响力增加,环球市场和中国金融市场已环环相扣,息息相关。当今市场变化多端,投资者只有能掌握数据,作出精确分析,才能知所进退,正所谓“一叶落知天下秋”。亚洲金融风险智库特撰写此文章,以回顾2015年国际金融市场及各类资产的表现,并希望藉此加深投资者对环球市场的认知,听风顺势,从而计划投资策略和好好管理风险。
Generally, the performance of the stock market in sovereign bonds and developed countries is good while the performance in the stock markets and commodities in emerging markets is not as optimistic. With the financial reform in China and the increase in international influence, the global market and the Chinese financial market have been closely linked and closely linked . Today’s market is full of changes, investors can only grasp the data, make an accurate analysis, to know the advance and retreat, is the so-called Asia Financial Risk Thinker writes this article to review the performance of international financial markets and various assets in 2015 and hope to deepen investors’ awareness of the global market and plan their investment strategies and manage their risks.