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美元指数或将在2012年年初涨至85一线,而欧洲主权债务危机将恶化,结合技术面,预计美黄金或将跌至1300美元一线。美元指数明年初或涨至85一线经历两轮量化宽松后,美联储推出新一轮宽松政策的冲动得到抑制,意味着造成美元指数自2009年3月以来熊市行情的首要利空因素暂时销声匿迹。高企的通胀水平和政府债务规模使
The dollar index will rise to 85 in early 2012, while the European sovereign debt crisis will worsen. With the technical side, the United States is expected to fall to 1,300 U.S. dollars or so. US dollar index early next year or rose to 85 After two rounds of quantitative easing, the Federal Reserve introduced a new round of easing impulse to impose, which means that the dollar index bear market since March 2009 the primary negative moment temporarily disappeared. High inflation and government debt scale