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FX581国际财经资讯早报(10月7日) 市场概述 周三,三大美股指盘中抹平逾1%跌幅转涨,能源板块跌超1%逆市领跌,Moderna跌近9%。泛欧股指跌离一周高位,零售、旅游、汽车和电信股均跌超2%。欧洲天然气跌落历史高位,盘中回吐日内近40%涨幅,一度跌超10%;美国天然气跌离十三年高位,跌超10%,创一年最大跌幅;美油和布油分别跌离七年和三年高位,盘中跌超2%。10年期英美国债收益率盘中转降,分别脱离两年多和近四个月高位。美元指数站上94,靠近一年高位。黄金小幅反弹,伦铜两连阴逼近六周低谷。   美股:标普500涨幅0.41%,扳回盘中1.3%的跌幅,创出2月份以来最大逆转走势。道琼斯涨幅0.30%。纳斯达克涨幅0.47%。   黄金:COMEX 12月黄金期货收涨0.05%,报1761.8美元/盎司。   黄金价格走势展望及技术分析摘要:由于10年期国债收益率攀升至月度新高(1.57%),黄金价格难以保持从9月低点(1722美元)开始的升势,而美国的关键发展可能继续拖累贵金属,因为非农就业报告(NFP)预计将显示就业增长回升。

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