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2016年以来全球主要金融市场纷纷开启震荡模式。展望后市,短期内,需要继续对美联储加息的内容变化保持密切关注,对于汇市、股市和大宗商品市场的波动和联动可能引发的金融市场风险保持高度警惕;中长期来看,美中经济增长前景基本向好、美国加息基调不改和欧日货币基本宽松,将有助于美元和金融市场逐步走稳。
Since 2016, the world’s major financial markets have opened the shock mode. Looking forward, in the short term, it is necessary to continue to pay close attention to the changes in the rate hike by the Federal Reserve and to be highly vigilant about the financial market risks that may be triggered by the fluctuation and linkage of the foreign exchange market, the stock market and the commodity market. In the medium and long term, the U.S.-China economic growth The prospects for the basic good, the United States did not change the key tone of interest rates and the basic easing of the European and Japanese currencies, will help the dollar and financial markets gradually stabilize.