comparemela.com

Latest Breaking News On - வியாழன் வங்கி - Page 1 : comparemela.com

Jobs jump lifts kiwi; dollar waits for payrolls

Tom Westbrook 4 minute read A U.S. dollar banknote is seen in this illustration taken May 26, 2020. REUTERS/Dado Ruvic/Illustration/File Photo/File Photo SINGAPORE, Aug 4 (Reuters) - The dollar was pinned near recent lows on Wednesday as investors awaited U.S. jobs data for a guide on the interest rate outlook, while a drop in unemployment in New Zealand lifted the kiwi in anticipation that rate hikes could begin there within weeks. Labour markets are in focus the world over as a bellwether for policy shifts, since central bankers from Wellington to Washington have said a job recovery is a precondition for raising rates.

Dollar trades near recent lows; kiwi climbs

LONDON, Aug 4 (Reuters) - The dollar traded near recent lows on Wednesday as investors awaited U.S. jobs data for a guide on the outlook for interest rates. The greenback has lost some ground against major rivals over the past two weeks, on warnings from the U.S. Federal Reserve that the job market still had “some ground to cover” before it eases stimulus, training eyes on jobs data. But it is still up around 2% overall since a Fed meeting in June at which the central bank flagged it was gearing up for sooner-than-expected rate hikes. On Wednesday the dollar index was broadly flat at around the 92 mark.

Dollar trades near recent lows; kiwi climbs | Hellenic Shipping News Worldwide

Dollar trades near recent lows; kiwi climbs | Hellenic Shipping News Worldwide
hellenicshippingnews.com - get the latest breaking news, showbiz & celebrity photos, sport news & rumours, viral videos and top stories from hellenicshippingnews.com Daily Mail and Mail on Sunday newspapers.

趁大盘回撤低吸优质股-股票-金融界

  有人说,北向资金本周三大幅净流出,是不是意味着聪明钱不看好后市了。笔者强调过多次,北向资金既然是聪明钱,操作上就比较灵活,也善于做短线,不能因为一两天的进出,就得出北向资金的趋势结论,这是很教条的。机构投资者在财报数据出来后,重要的是验证报表是否与先前的预期一致,先前投资时的假设前提是否发生改变。另外,不同上市公司之间的报表,机构也会拿来对比分析,以加深对某家公司核心竞争力的理解。比如经营性现金流、资产负债率、ROS(销售利润率)等指标,都是可以通过对比,得出比较准确的判断的。   相对来说,机构投资者最关注的是盈利增速和质量。在目前中报时间节点上,可能会对相关行业的毛利率及其趋势加以特别关注。某些行业上游成本的持续上涨,可能会侵蚀当下或未来盈利,这些都是�

放量震荡,意在向上!——zsp8836——东方财富网博客

本周大盘继续放量震荡,各大指数周收盘又是一个十字星,变盘再被延后。 上周期待的权重发力上攻,本周没有实现,但周四银行、保险的放量见底反攻基本确立了大金融调整的结束,后市震荡向上应是大概率事件。 今年以来,大金融的持续调整始终在压制大盘的走势,当大盘摆脱了这种羁绊,上行就会轻松的多。 再看看大盘的月线图: 虽然权重崛起在本周失约,看一下,下周是否会如期而至。 类似的行业还有一些,关键还在于朋友们用心挖掘、研究,并保有耐心! 长此以往,必将获得丰厚回报! 周老师从近26年的A股投资经历中深刻感受到,这一目标正一步步靠近。 个人观点,仅供参考。股市有风险,买卖需谨慎!

© 2025 Vimarsana

vimarsana © 2020. All Rights Reserved.