基於空白的宏觀經濟日曆,市場預期將繼續在先前確立的水平附近整固。只有意外事件才能為交易進程帶來一些變化——而這正是發生的情況。歐洲央行警告歐元區存在高風險的債務危機,投資者將之解讀為進一步降息的保證。這發生在最近通脹上升以及過去兩次歐洲央行會議中的顯著貨幣政策寬鬆之後。不出所料,歐元再次下行。
今天的情況依然相似,因為宏觀經濟日曆再次缺乏重大事件。然而,有幾位歐洲央行官員預計將發表講話,他們可能會進一步闡述昨天的聲明,並直接討論進一步降息的必要性,這將導致歐元更加疲弱。
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*这里的市场分析是为了增加您对市场的了解,而不是给出交易的指示。
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