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美国次贷危机自2007年7月爆发以来一直制约着国际汇市的走势,2008年次贷危机经历了相对缓和与剧烈蔓延的两个阶段,在此期间,国际汇市也因此发生了剧烈的变化。7月中旬次贷危机全面升级前,投资者普遍认为次贷危机最坏的时期已经过去,市场避险情绪有所缓和,大家将关注的焦点放在经济发展的数据指标上,控制通货膨胀、保持经济稳定发展成为各国央行的工作重点。在此期间,国际汇市呈现温和调整态势。美元自年初高点震荡回落,欧元波动上涨,英镑横向震荡,商品货币温和上升,日元回落走低,人民币稳步上升。
Since the outbreak of the U.S. subprime mortgage crisis in July 2007, it has been restricting the trend of the international currency market. In 2008, the subprime mortgage crisis experienced two stages of relative easing and fierce contagion. During this period, the international foreign exchange market has undergone drastic changes. Before mid-July, before the full escalation of the sub-prime crisis, investors generally agreed that the worst period of the subprime mortgage crisis has passed and the market has eased the risk aversion. We will focus on the indicators of economic development to control inflation, Maintaining stable economic development has become the focus of the central banks in all countries. During this period, the international foreign exchange market showed a moderate adjustment trend. The dollar fell in turmoil from the beginning of the year, the euro rose, the pound sterilized, the commodity currency rose modestly, the yen retreated lower and the yuan rose steadily.