论文部分内容阅读
2008年11月,黄金在两股力量的压力下走出了横盘整理形态。一方面,各个国家都意识到这场金融危机范围广、危害大的特性,纷纷出台诸多救市政策挽救本国经济,中旬召开的G20峰会也被寄予厚望。另一方面金融危机仍像“瘟疫”一般肆意扩张,经济面恶化的消息时时冲击着市场。多空双方在对上述两方面的判断上存在有分歧,表现为市场波动加剧,震荡区间扩大。黄金由围绕中轴720美元波动转变为从700美元到760美元
November 2008, gold under the pressure of two forces out of the sideways shape. On the one hand, all countries are aware that this financial crisis has a wide range and great harmfulness and many rescue policies have been put forth to save their economy. The G20 summit in mid-term is also expected to have high hopes. On the other hand, the financial crisis is still like the “plague” generally wanton expansion, the news of the deterioration of the economy from time to time impact on the market. Both the long and short sides disagreed on the above-mentioned two judgments, showing that the market volatility intensified and the shock interval widened. Gold fluctuated from $ 720 around the center axis to $ 700 to $ 760