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2018年04月12日

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, uncertainties in basic variables such as economic growth and inflation are increasing. Since the three quarter of 2016, the economic growth of global resonance has been disintegrated, especially between China and the United States, and there is a serious divergence of economic trends between China and the United States. Since April, trade conflicts have also led to the risk of potential KO Annie received her MSc degree and PhD in Hotel and Tourism Management at the Hong Kong Polytechnic University. Her research interests focus on perceived corporate social responsibility, strategic human resource management and organisational behaviour.
inflation. The risk of inflation has not yet become the direct driving force of the nominal interest rate. This risk is actually more reflected in a certain degree of suppression of risk preference. The potential uncertainty is the value of asset allocation at a higher rate of return. Secondly, the rise of inflation risk directly eroded the bond value on the one hand. On the other hand, it will also pressure directly on the easing of monetary policy. The European Central Bank, the Bank of Japan and the Bank of England are all facing an earlier "increase in interest" than previous expectations. Unlike other countries, the central bank has never implemented such policies as quantitative easing, and the policy tightening is also better than other countries. Early home, so the high nominal interest rate has provided a sufficient margin of safety in the middle and long term uncertainty, and in the state of monetary policy tightening, whether economic growth can sustain the strong state of the past two years is also a market concernWhen you are dealing with a distribution solution company, rather than a mere client, you need to take the initiative at times.
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Since the beginning of the year, many "rules of experience" between the price of assets have been broken, for example, the price of gold is steady and keeps rising under the effect of the real interest rate. The US 10 year treasury bond yield and the current spread of the global "dollar shortage" did not increase the dollar index and the dollar to the yen. The gold price deviation of dangerous assets and so on, which are characterized by medium and long term certainty, have led to the market's preference for asset classes with a certain degree of hedging property, such as bonds and gold. Although the expectation of the two quarter bond market supply and demand imbalance leads to the downward pressure of the two level market returns, the allocation demand is never the initiative to lead the direction of the return. The trading of macroeconomic factors, which focus on economic growth, inflation and policy changes, needs to be "marginal force" to guide the change of yield. Quantity. In the short term, as a result of the shock of the trade conflict, the market price "overshoot" is expected to be "overshoot" in the expected price, so in the short term, the bond will be "stepped back". In the medium and long term, the bond or the return of value is still more than the time in the yearMultiple MNCs allow the concept of customizable branding and the business logo will depict the warmth that you wish to share with your collaborators. With options of corporate gift hong kong, you can very well maintain your overseas relations.
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Posted at 2018/04/12 12:16:33

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