-- 法國興業銀行週一早晨經濟新聞摘要指出: ——海灣地區局勢再升級後,布蘭特原油價格反彈,市場避險情緒溫和下降。歐元區斯托克50指數期貨下跌1.4%,美元跌幅收窄,10年期德國公債殖利率回升至3.0%。如果美國不解除封鎖,伊朗將繼續關閉霍爾木茲海峽。美國攔截並扣押了一艘懸掛伊朗國旗的貨船。和平談判計劃於週一在巴基斯坦舉行,停火協議將於週三到期。 --美國商品期貨交易委員會(CFTC)外匯持股:歐元(EUR)淨多頭部位佔未平倉合約的3.3%,日圓(JPY)空頭部位降至23.5%,英鎊(GBP)空頭部位減至21.9%,澳元(AUD)多頭部位降至24.7%,加幣(CAD或盧尼)多頭部位降至8.1%,墨西哥披索(MXN)多頭部位維持在31.3%,紐約商品交易所(Nymex)多頭部位維持在9.9%。 -- 下週展望:聯準會新任主席凱文沃什的確認聽證會將於週二舉行。歐元區、美國和英國的採購經理人指數(PMI)初值將會公佈。美國零售銷售數據將會公佈。德國ZEW經濟景氣指數將會公佈。英國消費者物價指數、就業數據和零售銷售數據將會公佈。印尼和土耳其央行預計將維持利率不變。日本、加拿大和南非的消費者物價指數(CPI)也將公佈。 日經指數上漲0.6%,歐元10年利率上漲4個基點至3.03%,布蘭特原油上漲5.6%至每桶95.4美元,黃金下跌0.8%至每盎司4,791美元。
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