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原油期貨 INSIDE TODAY
  • 期貨中國:原油價格走低 仍然看好市場
  • 本站編輯:中信建投期貨杭州分公司發布日期:2019-08-31 08:30 瀏覽次數:

上周,歐盟成員國內部就希臘第二輪援助計劃未能達成一致,引發市場對希臘債務違約和歐洲經濟極度恐慌與擔憂。雖然17日德國和法國表示會救助希臘,但投資者對希臘債務違約的擔憂情緒絲毫未減。同時,杭州遠發期貨配資由于通脹形勢日益嚴峻,新興國家繼續采取抗通脹措施,如印度宣布加息,中國年內第六次提高存款準備金率。

Last week, the failure of EU Member States to agree on Greece's second aid package sparked panic and concern about Greece's debt default and the European economy. Although Germany and France said on the 17th that they would rescue Greece, investors'worries about Greece's debt default remained unchanged. At the same time, due to the increasingly severe inflation situation, emerging countries continue to take anti-inflation measures, such as India's announcement of interest rate hike, China's sixth increase in deposit reserve ratio in the year.

紐約商交所(NYMEX)七月輕質低硫原油期貨合約結算價漲25美分為每桶93.26美元,漲幅0.3%,盤中最低跌至每桶91.14美元。倫敦洲際交易所(ICE)八月布倫特原油期貨合約結算價跌1.52美元為每桶111.69美元。

New York Mercantile Exchange (NYMEX) July light low sulfur crude oil futures contract settlement price rose 25 cents to $93.26 per barrel, an increase of 0.3%, the lowest drop to $91.14 per barrel. The London Intercontinental Exchange (ICE) clearing price for Brent crude oil futures contracts fell $1.52 to $111.69 a barrel in August.

綜合媒體6月17日報道,紐約商業交易所(NYMEX)原油期貨17日收盤跌至4個月低位,因對希臘債務危機和美國經濟增長放緩的擔憂持續打壓油價。

Comprehensive media reported on June 17 that crude oil futures on the New York Mercantile Exchange (NYMEX) closed at a four-month low on June 17, as concerns about the Greek debt crisis and the slowdown in U.S. economic growth continued to depress oil prices.

NYMEX 7月輕質低硫原油期貨合約結算價跌1.94美元,至每桶93.01美元,跌幅2.04%,創2月18日以來的最低結算價。6月17日當周油價大跌6.3%,為5月初商品市場普跌以來最大周度跌幅。

NYMEX's July settlement price for light and low sulphur crude oil futures fell $1.94 to $93.01 a barrel, or 2.04%, the lowest settlement price since February 18. Oil prices fell 6.3% in the week of June 17, the biggest weekly drop since the commodity market plunged in early May.

希臘債務危機重新成為包括油市在內的多個市場的推動因素。當圍繞該國償還債務能力的擔憂加重時,交易員會拋售原油等高風險資產。投資者擔心,債務違約可能會引發對歐洲更大負債國的擔憂,并對歐洲銀行業造成打擊,從而令經濟復蘇步伐放緩。

The Greek debt crisis has re-emerged as a driving force in many markets, including the oil market. When concerns about the country's ability to repay its debts grow, traders sell risky assets such as crude oil. Investors fear that default could trigger fears for Europe's larger debtors and hit European banks, slowing the pace of economic recovery.


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