一早把2个月的波动跌完了,什么情况
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川普又出啥幺蛾子了
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即使不加息,缩表也不会变,QE的流动性收缩,大家都避险,找坑卧倒
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23,346.24+18.78 (+0.08%)
At close: 4:56PM EST
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太激动了
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可能川总准备收拾鬼子了吧
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The S&P 500 Index ended an up-and-down session higher by three points, while the Dow Jones Industrial Average eked out a gain and the Nasdaq indexes climbed. Banks rallied, and energy producers surged after a report that Saudi Arabia lowered oil exports fueled a surge in the price of crude. Stocks with high dividend yields fell the most as the 10-year Treasury yield tumbled. Equities started the day lower on poor sentiment sparked by a weak reading on Chinese manufacturing, which added to concern that global growth is slowing. A read on US Manufacturing (Markit’s Dec PMI) also come in slightly below expectations (53.8 v 53.9 est and prior 53.9).
U.S. 10-year yield fell 1.8 bps to 2.6664% - Some gauges of economic health are pricing in lower Fed rates for the first time in more than a decade. The little-known near-term forward spread, which reflects the difference between the forward rate implied by Treasury bills six quarters from now and the current three-month yield, fell into negative territory on Wednesday for the first time since March 2008. Two-year yields dipped below those on one-year paper in December.
From an Australian perspective the focus is on domestic and regional issues…..
The Australia 10-year bond yield fell 2.9 bps to 2.289% following yesterday’s soft house price numbers – which basically rules out any near term hikes by the RBA. The widening interest-rate differential in favor of the U.S. weighed on the Australian dollar. Ten-year Australian bonds yield about 2.28 percent, compared with 2.65 percent for similar-maturity U.S. Treasuries.
The Australian dollar fell below 70 U.S. cents for the first time since 2016 as global growth concerns and rising U.S. interest rates sap demand for the nation’s assets. The Aussie fell 9.7% in 2018, the worst performance among Group-of-10 currencies. Australia’s economic growth has eased after commodity prices slumped and household consumption slowed. Investors are betting the central bank will cut interest rates this year amid an uncertain outlook as China, the nation’s largest trading partner, continues to spar with the U.S. over trade.
Focus on the Banks today as the Treasurer steps in. The sector was the main driver of our market lower yesterday after the House price index disappointed. This morning the Australian is reporting Treasurer Josh Frydenberg has called on the banks to reignite “affordable and timely” lending after new figures revealed national house prices ¬suffered their worst year since the global financial crisis. It seem that the dramatic slide in Australia’s biggest property markets — Sydney fell by 8.9%, Melbourne by 7% — has prompted warnings from leading economists that the Reserve Bank could cut official interest rates into emergency territory this year, in a bid to reboot economic growth.
This could go either way for us. The Bulls will say, coupled with APRA’s lifting of investors only loan caps, this endorsement by the government will allow the banks to lend more aggressively without incuring additional regulatory scrutiny. Meanwhile, the bears will argue the warning comes as confidence is already at dangerously low levels and it’s a matter of if the banks are willing to lend more in this environment of falling house prices.
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-- Equities -- Last Chg %chg
Dow 23,346 +19 +0.1%
S&P500 2,510 +3 +0.1%
Nasdaq 6,666 +31 +0.5%
Euro Stoxx 2,993 -8 -0.3%
Shanghai Comp. 2,465 -29 -1.1%
Nikkei 20,015 -63 -0.3%
….SPI (Aust) 5,574 +87 +1.6%
-- FX -- Last Chg %chg
$A / $US 0.6970 -0.0083 -1.2%
Yen / $US 106.34 -0.72 -0.7%
Euro / $US 1.1329 -0.0012 -0.1%
$A / GBP 0.5509 -0.0001 -0.0%
A$ TWI 60.30 -0.400 -0.7%
USDCNH 6.88 0.001 +0.0%
-- Cmdty -- Last Chg %chg
Aluminium 83.7 0.0 +0.1%
Copper 270.6 -1.5 -0.5%
Nickel 484.9 -1.8 -0.4%
Coking Coal 210.0 -8.0 -3.7%
Thermal Coal 101.1 -0.9 -0.9%
Iron Ore 69.8 0.4 +0.5%
Gold 1292.70 +5.00 +0.4%
Oil…WTI 46.54 +1.13 +2.5%
Oil..Brent 54.76 +0.96 +1.8%
Zinc 2467.00 +27.00 +1.1%
Gas 2.96 +0.02 +0.7%
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根本没什么突发事件。。中国放缓,又不是什么新鲜事儿。。
就是趁年初trading volume is thin, 不知道哪些大机构在作妖。。
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美日和日经比列1:7 , 美日跌400点相当于日经跌2800点。
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澳日更赞
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不怎么看交叉盘
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几年一次的黑天鹅
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路过
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过去1周澳大利亚asx 都不跟美国走了。
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澳元被杀空啊!空头都被杀得片甲不留了。会不会转过头来杀多头呢?拭目以待
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美元指数大周期下跌,澳币0.64不破就高概率上升
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澳币今天底气很足的样子
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澳币昨天又涨了1.5%,周五最强劲货币
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昨晚彭博有线电视说美元下个阶段是减息
没准澳元从此踏入牛市了
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如果美联储降息的话,RBA也会跟随降息的。不过就算美联储今年停止加息, RBA今年降息的可能性也挺大的。
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牛市现在还不确定,但是澳币每次大涨之后都会连涨三四天
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应该是希婆和她们的华尔街利益集团又出什么要哦子。
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不可能。
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Dec manufacturing PMI -1.8 pts to 49.5
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上一任央行行长是鼓吹降息能挽救澳洲经济的始作俑者。在离任前夕他这样总结:其实降息无法起到振兴经济的作用。
澳洲需要降的不是汇率,而是毫无理由昂贵的人工。
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澳币继续领涨第二名昨天,欧元第一
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