Gold has always been one of the important assets that have attracted much attention from investors, and its price fluctuations have a profound impact on the global economy and market.In the past few years, gold prices have experienced many fluctuations and have been affected by many factors.This article will start from the historical trend, analyze the current trend of the golden market, and look forward to the possible future trends.
First of all, we can review the trend of gold prices in recent years.In the past ten years, due to factors such as global political and economic environmental instability, gold prices have shown significant fluctuations.Especially during the year to years, the risk aversion caused by the European debt crisis and US debt issues, which led to a record high in gold prices.
However, under the influence of factors such as global trade tensions alleviating and expectations of the Federal Reserve's interest rate hikes, some investors have gradually shifted to other asset classes, which has led to a decline in gold prices in some hours.However, after the outbreak of the new crown epidemic, gold has become one of the assets of insurance, and prices have risen again.
From a technical point of view, in the long -term chart, we can see that the recent market has increased the market's demand for risk aversion to the increase in inflation expectations and increased geopolitical risks. In terms of fundamental terms, the global central bank's currency loose policy continues, which also supportsThe market expects inflation expectations.
In addition, with the slowdown of the global economic recovery and the supply chain problem, the market generally believes that these factors will further support the performance of the commodity category. Therefore, combined with technology and fundamentals, we can know that the overall market is optimistic.
For future trends, in the current environment, it may continue to be optimistic about gold as a hedging tool. Short -term operations can be taken to start with the right time according to technical indicators; long -term operations can consider long -term holding and pay attention to risk incidents to change the value of asset value to asset value.Then, then
*risk warning:
1. Inferiority or emergencies of geopolitical tightness may cause market panic mood
2. mutation of the epidemic will cause a bad blow to Ji'an security
The above content is for reference only, please be cautious according to your own strength!
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