避险需求提振金价,金价暴涨
2月14日,在美国通胀数据令金融市场震惊后,黄金投资者应该会更有信心,因为金价经过大幅下跌已被证明是有弹性的。黄金市场已经能够承受更高的10年期债券收益率,随着波动性增加,黄金的避险需求正在增加,金价正受益于技术面的动力。
黄金市场波动剧烈,在1月份美国经济数据好坏不一的情况下,急跌14美元。消费者价格指数显示通胀高于预期,但零售销售逊于预期。随后再度急剧反弹,回升30美元,刷新盘中高位。
4月黄金期货价格报1349.40美元/盎司,当日涨幅超过1.4%。黄金市场已经能够承受更高的10年期债券收益率,10年期国债收益率继续保持4年来的最高水平,为2.875%。
分析师表示:“虽然市场最初关注的是通胀数据,但交易员们开始意识到,由于零售销售令人失望,并没有改变什么。”
,黄金也得益于对通胀的冷静思考。尽管月度环比变化强于预期,但年通胀率维持在2.1%不变。年度核心通胀率也稳定在1.8%。总的来说,通货膨胀并没有上升,它保持稳定,市场需要些时间才能意识到这一点。
在数据公布后,黄金遭受肆意抛售。不过,由于经济数据好坏参半,市场正从避险资金流中获益,黄金正从美元的加剧下滑中受益。美元指数跌破90点,这被证明是一个强大的阻力点,对黄金是有利的。
分析师表示,随着波动性增加,黄金的避险需求正在增加,金价正受益于技术面的动力。随着金价突破1334美元/盎司的关键阻力位,。
本文来源: 大田环球贵金属
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