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最近一个月里,美国经济处于两面性状况,一方面受到美国次级债问题的压制,市场紧张心理导致美元和美股出现较大幅度的调整,美国债券市场收益率受到影响扩大,调整性突出;另一方面是美国悲观氛围受到最新经济增长水平带动,进而当前国际金融市场美元主线灵活调整突出,先是美元兑欧元贬值,后是美元兑日元贬值,并带动不同货币随从变化,后期美元又呈现全
In the recent month, the U.S. economy is in a two-sided situation. On the one hand, it has been suppressed by the U.S. subordinated debt problem. Market tensions have led to a large adjustment in the U.S. dollar and U.S. stocks. The yield on the U.S. bond market has been greatly expanded and the adjustment is prominent. On the one hand, the pessimistic atmosphere of the United States is driven by the latest economic growth level. At present, the flexible adjustment of the U.S. dollar main line in the international financial markets is prominent. First, the U.S. dollar depreciates against the euro, and then the U.S. dollar depreciates against the Japanese yen and changes in different currency followers.