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近期,市场对未来全球宏观经济形势担忧加剧,欧债危机的恶化以及美元的反弹成为打压有色价格的主要原因。近期以来,市场对未来全球宏观经济形势担忧加剧,欧债危机的恶化以及美元的反弹成为打压有色价格的主要原因。全球经济增长前景的暗淡仍在延续,目前市场将全部希望倾注于各国协同救市的预期上,而挽救经济的措施的规模和力度将成为决定市场方向的关键因素。
Recently, the market worried about the future global macroeconomic situation worsened, the deterioration of the debt crisis in Europe and the rebound in the dollar has become the main reason to suppress non-ferrous prices. In the near term, the market has become more worried about the future global macroeconomic situation. The deterioration of the European debt crisis and the rebound of the U.S. dollar have been the main reasons for the suppression of non-ferrous prices. The gloomy outlook for global economic growth is still continuing. At present, the market will all wish to devote itself to the expectation of coordinated rescue efforts in various countries. The scale and intensity of the measures to rescue the economy will be the key factors determining the direction of the market.