首页 | 本学科首页   官方微博 | 高级检索  
     检索      

2005年国际金融市场回顾与2006年展望
作者单位:中国银行全球金融市场部
摘    要:2005年的国际金融市场走势跌宕起伏,股票市场表现不一,债券市场基本上是区间波动走势,外汇市场美元一枝独秀,石油价格冲高回落而黄金的表现也引人注目。决定市场走势的因素是美国经济表现稳健,欧、日经济相形见绌,同时美国利率持续上升。2006年受房地产市场降温的影响,美国经济可能温和放缓,利率很快见顶,将对金融市场产生重大影响,总体而言风险加大。

关 键 词:金融市场  经济走势  外汇  债券  股票  石油  黄金

International Financial Markets: Review and Outlook
Authors:Geng Qun
Abstract:Financial markets could be pictured as volatile in 2005. The equity markets appeared different around the world while the bond markets remained range trading, USD appreciated in 2005 and the biggest surprise came from the commodity markets. The main momentum of the markets trends were the US economy overwhelmed the Europe and the Japan, together with its higher interest rate. The key problem of 2006 is the potential risk of the US economy due to the housing market, leading to an imminent halt of the benchmark interest rate. The financial markets will be more date dependant in 2006.
Keywords:Financial Markets  Economics  Foreign Exchange  Bond  Equity  Oil  Gold    
本文献已被 CNKI 等数据库收录!
设为首页 | 免责声明 | 关于勤云 | 加入收藏

Copyright©北京勤云科技发展有限公司  京ICP备09084417号