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Crude Dips to $95 as Surging Dollar, Recession Fear Test Mettle of Oil Rally_我的网站

A | New York-traded West Texas Intermediate (WTI) settled down 97 cents, or almost 1%, at $98.53. The intraday low was $95.17, a bottom not seen since the week ended April 8. In just two sessions, the US crude benchmark had lost almost $15 or 14%.,Citigroup says WTI could collapse to $65 a barrel by the end of this year and slump to $45 by end-2023 if a demand-crippling recession hits.,London-traded Brent crude, settled at $100.69, down $2.08 or 2.02%. Earlier, it broke below the $100 mark the first time since April 25, hitting a session low of $98.59. Like WTI, Brent has also lost almost $15, or 13%, over two days of trading.,West May Use Proposed Russian Oil Price Cap Scheme for Gas Price, Von Der Leyen SaysYesterday, 12:20 GMT,A cluster of economic data of late has suggested that the United States may be headed for an economic slowdown - possibly a recession - as the Federal Reserve embarks on the most aggressive rate hikes in a generation to tame inflation roaring at 40-year highs.,A closely-watched gauge of the US services sector fell to its lowest in 20 months in June.,Separately, the US Labor Department signaled that the red-hot labor market may be starting to cool. Job openings, as measured by its monthly survey, fell in May, to a level of 11.254 million that is still high by historical comparison.,The job openings data came ahead of Friday’s more important June non-farm payrolls report, which is expected to show a smaller jobs growth compared with May. Economists say some 268,000 payrolls were probably added last month - versus the 390,000 in May - holding unemployment at 3.6% for a third straight month. A jobless rate of 4% or below is seen by the Federal Reserve as full employment.,“While our view remains that higher consumer prices are required to balance the oil market this summer, we acknowledge that significant and large shocks continue to distort fundamentals,” Goldman Sachs said in an energy market outlook.,Blockage of Russian Bond Payments to Erode Dollar Dominance, French Economist Says27 June, 15:29 GMT,A rocketing dollar ahead of more rate hikes by the Federal Reserve, or Fed, has also shaken the roots of the energy rally seen since the start of the Russia-Ukraine conflict in February and the resulting sanctions on Moscow.,The Dollar Index, which pits the greenback against six major currencies, continued its ascent from overnight, leaping to above 107, its highest since December 2002. The dollar has rallied with few stops since November last year on bets of aggressive rate hikes by the Federal Reserve, or Fed, which has just started delivering on those expectations.,The drone of recession talk is expected to get louder across the United States after the Atlanta division of the Federal Reserve forecast last week a second straight quarter of economic decline for the year. The Commerce Department officially reported a 1.6% economic contraction in the first quarter.,The Federal Reserve, in minutes of its June policy meeting released on Wednesday, said it saw a real danger of high inflation becoming entrenched in the US economy and the only way to balance runaway prices with growth was to have appropriate interest rate hikes.,The central bank is expected to push ahead with another three-quarter percentage point interest rates hike this month, potentially taking key lending rates to between 2.25% and 2.5% range from the 0 - 0.25% range they stood at in February.。 本篇评级为★★★,主要围绕以下内容展开: 1、多类资产齐齐下跌,会继续恶化吗? 2、国内市场有哪些"长线方向"? 如有疑问请以音频内容为准,添加妙投小虎哥微信miaotou515,入群有机会与董小姐进一步交流。 新闻解读评级说明:五星重磅,四星重要,三星级以下大家选择听。 1、多类资产齐齐下跌,会继续恶化吗? 今天国内市场迎来大震荡,国内三大指数的跌幅都超过2%。这并非我们一家出现问题,而是全球联动所致——亚洲市场也普遍下跌,其中韩国主要股指跌幅超过5%,印尼股指的跌幅也大致相当,接近5%。 再看美国市场,目前尚未开盘,但股指期货市场已预示今晚美股仍将难以平静,可能继续回踩。 结合上周五已出现暴跌的贵金属来看,当前不仅不同地域、不同市场在同步下跌,不同资产类别之间也显现出明显的联动效应。贵金属在上周五大跌10%之后,今天黄金继续下跌6%以上,顺带着有色金属和资源板块也出现了跟随式跳水。

B | 作为大宗商品之王的原油,在这两天的跌幅也超过了5%。

C | 这场波及全球、蔓延至各大类资产的大波动,目前究竟处于什么阶段?是否还有进一步恶化的可能?这对投资者而言至关重要。

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