由于通货膨胀压力持续增加,就业市场仍然紧张, 全球金融市场10月份出现上涨,并收复了此前一个月的大部分跌幅. Global equity market gains were led by US large caps; Energy & Commodity-sensitive led sector gains; European equity gains were led by 法国, 意大利和荷兰, 而亚洲股市涨跌互现. beplay体育的兴趣... 阅读更多
与许多国家一样,全球金融市场5月份的表现喜忧参半 & 经济开始摆脱大流行隔离,通胀压力开始上升. Global equity markets were also mixed with gains in large cap and Energy sectors offset by weakness in 技术; European and 亚洲股市也有所上涨. 在通胀时期,美国利率基本保持不变... 阅读更多
在大宗商品价格飙升的推动下,全球金融市场在4月份上涨, 积极的公司收益和美国疫苗接种管理的持续进展, 以及持续强劲的就业和住房数据. Equity markets gained across most sectors led by 技术; Energy, 商品相关类股和金融类股均强劲上涨. 美国利率报窄... 阅读更多
全球金融市场延续了去年12月的涨势,结束了强劲而动荡的2020年, 投资者关注的是冠状病毒病例持续增加, rollout of several vaccines and the resolution of the US senate election; cryptocurrencies extend the recent surge. 美国股市以小盘股领涨, 而技术, Energy and Cyclical sectors all led gains; European & 亚洲股市... 阅读更多
全球金融市场在10月份下跌,原因是欧洲国家实施了更多的病毒隔离措施,同时投资者为美国总统大选做准备. 全球股市下跌,法国、德国、意大利等欧洲股市领跌 & the UK; sector declines were led by Energy, Telecom & 医疗保健. 美国利率在本月上升... 阅读更多
自3月初以来一直处于严格隔离状态的多个国家计划重新开放经济,全球金融市场在4月份大幅上涨, 而油价则大幅下跌. Global equity markets posted the strongest monthly advance since 1987 led by large cap 技术; equity implied volatility fell sharply while realized volatility remained high. 全球股市也领涨... 阅读更多
Global financial markets posted steep losses in February driven by uncertainty regarding the contagion of the coronavirus; US equities posted sharp losses across all indices, 在资金流向优质资产的过程中,利率跌至历史新低, 同时,投资者也在为央行进一步的刺激措施做准备. 能源大宗商品价格因预期大幅下跌... 阅读更多
由于对冠状病毒传播的担忧导致波动加剧,全球金融市场在1月份下跌,在月末收回了月内涨幅. Equities posted declines led by Chinese equities and Energy exposures; European equities also declined while US equities surrendered intra-month gains into month end. 美国利率在向优质资产转移的过程中有所下降... 阅读更多