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4月份以来,美国金融市场趋于稳定,投资者信心有所恢复。但是乐观情绪的维持最终还是需要有基本面的强力支撑,5月中,经济数据仍然好坏不一,市场解读也各有不同,但是整体上并不乐观。市场更多的是修正了前期动荡时的过度反应,金融市场的继续回升仍缺乏动力。与此同时,通胀的上升使美联储更加警惕,在目前将会保持谨慎的中性立场。而美元在持续下跌后虽然出现了一定程度的
Since April, the U.S. financial markets have stabilized and investor confidence has recovered. However, the upbeat sentiment eventually needs to be backed by fundamentals. In mid-May, the economic data are still mixed and the market interpretation is different, but not optimistic as a whole. The market is more correcting the overreaction in the early turmoil, and the continued rise of financial markets is still lacking in motivation. At the same time, the rise in inflation has made the Fed more vigilant and will remain cautiously neutral now. While the dollar continued to decline although there has been a certain degree