Highlights: Trump announced additional tariffs for Chinese imports, the Non-Farm Payrolls index is expected to rise in the US, the euro is positive and currently the EUR/USD pair is preparing to overcome the barrier at around 1.1100 dollars.
The pair managed to survive the pessimism after the FOMC decision, having rebounded from the lows of the beginning of the year within the limits of 1.1120 dollars. The dollar retreated from recent highs after US President Donald Trump unexpectedly announced new tariffs worth $300 billion on Chinese goods. While trade wars came to the fore and became the main driving force behind asset price changes, investors are advised to pay attention to the US labor market report, where Payrolls reached nearly 170,000 in July and unemployment is likely to remain without change - 3.7%.
This is the reason why the sale of the euro will continue in favor of this decision of the Fed and the preparation of the ECB to a new wave of incentives, including the potential reduction in interest rates and the restart of the QE program. The head of the ECB said that rates would remain at the "current or lower-level", at least until mid-2020. The worsening economic outlook in the region and the lack of control over inflation currently limit the bullish sentiment towards the euro, as well as reinforce the ECB's dovish sentiment. Currently, the pair has shifted by 0.06% to $ 1.1090 and a breakthrough at the level of 1.1101 will aim for 1.1187 and further to 1,1229. On the other hand, the next support is noticeable at the level of 1.1026 dollars from 1.1021 and, finally, 1.0839 dollars.
週二全球股市下跌,追蹤世界股票的 MSCI 指數出現下跌。主要原因是投資者對持續的美國貿易談判感到失望,並期待美聯儲的信號。
週一,標準普爾500指數滑落,結束了其20年來最為顯著的一輪漲幅。投資者在本週晚些時候關鍵的聯邦儲備會議前採取觀望態度。
美國股市指數,包括S&P 500和Nasdaq,均以穩健姿態結束了一週的交易,並處於正領域。這主要得益於中美貿易談判的鼓舞人心進展以及就業數據的韌性。
儘管經濟不確定性揮之不去,美國股市指數持續上升。投資者的樂觀情緒來自於美中貿易談判取得進展的預期。
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