分析师Giles Coghlan:供需两关键因素引发近期原油价格震荡下跌
近期油价下跌是受到供需两方面因素的共同驱动。供给方面,欧佩克预计全球原油出口将增长约540万桶/日,因亚太地区需求增加及供给下跌;此外,从短期来看,受美加两国出口增加驱动,全球原油出口将在2020年前增至4000万桶/日。需求方面,尽管当前石油需求以平均120万桶/日的速度增长,但预计到2020年需求将呈下滑趋势。
分析师Giles Coghlan:供需两关键因素引发近期原油价格震荡下跌
近期油价下跌是受到供需两方面因素的共同驱动。供给方面,欧佩克预计全球原油出口将增长约540万桶/日,因亚太地区需求增加及供给下跌;此外,从短期来看,受美加两国出口增加驱动,全球原油出口将在2020年前增至4000万桶/日。需求方面,尽管当前石油需求以平均120万桶/日的速度增长,但预计到2020年需求将呈下滑趋势。
AUD/USD Intraday: under pressure. Short positions below 0.7000 with targets at 0.6935 & 0.6890 in e
AUD/USD may fall 23 - 68 pips Pivot 0.7000 Our preference Short positions below 0.7000 with targets at 0.6935 & 0.6890 in extension. Alternat
EUR/USD Intraday: under pressure. Short positions below 1.0445 with targets at 1.0380 & 1.0360 in e
EUR/USD may fall 17 - 37 pips Pivot 1.0445 Our preference Short positions below 1.0445 with targets at 1.0380 & 1.0360 in extension. Alternat
USD/JPY Intraday: under pressure. Short positions below 133.50 with targets at 132.25 & 131.80 in e
USD/JPY may fall 59 - 104 pips Pivot 133.50 Our preference Short positions below 133.50 with targets at 132.25 & 131.80 in extension. Alterna
USD/CHF Intraday: under pressure. Short positions below 0.9875 with targets at 0.9760 & 0.9715 in e
USD/CHF may fall 44 - 89 pips Pivot 0.9875 Our preference Short positions below 0.9875 with targets at 0.9760 & 0.9715 in extension. Alternat
USD/CAD Intraday: the upside prevails. Long positions above 1.2890 with targets at 1.2975 & 1.2995
USD/CAD may rise 39 - 59 pips Pivot 1.2890 Our preference Long positions above 1.2890 with targets at 1.2975 & 1.2995 in extension. Alternati