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黄金从2001年的272美元/盎司至2011年9月最高的1920美元/盎司,上涨了近7倍,成为席卷全球的金融海啸中最为“诚实”的资产。黄金呈现10年上涨,年均涨幅18%。但从2011年8月至2012年8月这一年时间里,黄金的牛市旅程中却不断面临重重危机与挑战。9月13日,QE3一经宣布,风险指数VIX陡降,美元指数虽略跌0.5%,但引起了黄金市场的大幅波动,纽约黄金期货合约价格当日大幅上涨,收盘价创最近7个月新高,交投最活跃的12月黄金期价收于每
Gold rose nearly sevenfold from $ 272 per ounce in 2001 to the highest $ 1,920 per ounce in September 2011, making it the most “honest” asset in the financial tsunami that swept the globe. Gold showed a 10-year rise, an average annual increase of 18%. However, during the year of August 2011 to August 2012, the gold bull market continued to face numerous crises and challenges. On the 13th of September, when the QE3 risk index VIX plummeted on the 13th of September, the US dollar index dropped slightly by 0.5%, but caused a sharp fluctuation in the gold market. The price of the New York gold futures contract rose sharply on that day and the closing price hit a new 7-month high. The most active December gold price closed at each