-- 根據《台灣新聞》週一報道,台灣央行副總裁嚴宗達表示,央行在進行外匯幹預時,優先考慮的是物價穩定而非出口競爭力。 嚴宗達對記者講話時表示,央行穩定新台幣的努力有助於緩解因伊朗衝突導致全球油價上漲而帶來的輸入性通膨壓力。他指出,儘管國際大宗商品價格因地緣政治緊張局勢而上漲,但台灣的輸入性通膨仍處於可控範圍內。 立法委員警告稱,新台幣貶值可能推高進口成本,並詢問是否應限制外國投資者在出售股票後匯回資金。嚴宗達副行長表示,在台灣開放的資本製度下,此類限制難以實施,並指出現有規定已要求資金若不立即撤回則必須留在市場內。 據報道,他還補充說,央行將繼續密切關注中東局勢和全球金融狀況。 (市場動態新聞來自與全球市場專業人士的對話。這些資訊據信來自可靠來源,但可能包含傳聞和推測。準確性無法保證。)
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