Shift positions for the month stable index material stronger shocks-法拉利599gto

Shift positions for the month stable index material stronger shocks hot column capital flows thousands of thousands of stocks the latest Rating Rating diagnostic reporter Zhang Lijing – simulated trading client Tuesday, intraday stock index shock 2900 failed, the end of the three Yang callback declined slightly, the futures market to follow the market to weaken, but the main futures contract closed red. At the close, the Shanghai and Shenzhen 300 index futures contract month IF1602 reported 3050.6 points, up 0.35% or 10.6 points; the SSE 50 index futures contract month IH1602 reported 2006.8 points, up 0.37% or 7.4 points; the CSI 500 futures contract month IC1602 reported 5950.2 points, up 0.43% or 25.2 points. The 1603 month contract closed in the flat, IF1603 closed at 2981.8 points, up 0.4 points, or 0.01%; IH1603 closed at 1975.6 points, up 3.8 points, or 0.19%; IC1603 closed at 5746 points, down 4 points, or 0.07%. Stock index, the three index fell, underperformed the index. At the close, the Shanghai and Shenzhen 300 index at 3053.70 points, or 0.31%; Shanghai 50 index at 2009.27 points, or 0.26%; the CSI 500 index reported 5957.13 points, down 0.24%. February contract basis convergence, IF1602, IH1602 and IC1602 respectively, the 2.47 contract premium 3.1 points, 6.93 points. The larger the discount rate of the contract in March, three of 1603 futures contract premium 71.9 points respectively, 33.67 points, 211.13 points. Positions, the main shift positions for the month, yesterday IF1602 turnover of 9069 hand positions 7665 hands, lighten up 5007 hand; IH1602 turnover of 3280 hand positions 3493 hands, lighten up 1715 hand; IC1602 turnover of 5978 hands, 5317 hand positions 3272 hands, lighten up. At the same time, IF1603 contract positions 29275 hands, Masukura 4975 hands; IH1603 contract positions 13108 hands, Masukura 1871 hands; IC1603 positions 16861 hands, Masukura 2932 hands. Hongyuan futures futures analyst Yang Wenlu said that the futures market Tuesday Wednesday for two days of price, until Thursday the stock market down, eventually fell slightly. The rebound is caused by many factors. First of all, during the Spring Festival, the Fed chairman made dovish remarks, the U.S. market also slashed interest rate expectations, the global stock market ushered in the breathing machine; secondly, during the Spring Festival, the offshore RMB exchange rate continued to rise after the holiday, close to the onshore offshore RMB exchange rate, RMB exchange rate stabilization, alleviate the domestic market for the outflow of funds concerned; third. In January the RMB credit and M2 growth rate than the market expected, the eight ministries emphasized the steady growth of financial support industry, short-term market expectations for economic growth boosted. Thursday’s market decline is still technically testing the Shanghai Composite Index 2850 key pressure position, if stand firm, will break through

移仓换月平稳 期指料震荡偏强 热点栏目 资金流向 千股千评 个股诊断 最新评级 模拟交易 客户端   □本报记者 张利静   周四,沪指盘中冲击2900点未果,结束三连阳回调微跌,期指市场跟随大盘走弱,但期指主力合约终盘收红。截至收盘,沪深300期指当月合约IF1602报3050.6点,涨幅为0.35%或10.6点;上证50期指当月合约IH1602报2006.8点,涨幅为0.37%或7.4点;中证500期指当月合约IC1602报5950.2点,涨幅为0.43%或25.2点。次月的1603合约基本收在平盘,IF1603收于2981.8点,涨0.4点或0.01%;IH1603收于1975.6点,涨3.8点或0.19%;IC1603收于5746.0点,跌4.0点或0.07%。   现货指数方面,三指数均收跌,表现弱于期指。截至收盘,沪深300指数报3053.70点,跌幅为0.31%;上证50指数报2009.27点,跌幅为0.26%;中证500指数报5957.13点,跌幅为0.24%。2月合约基差收敛,IF1602、IH1602、IC1602合约分别贴水3.1点、2.47点、6.93点。3月合约贴水幅度较大,上述三期指1603合约分别贴水71.9点、33.67点、211.13点。   持仓方面,受主力移仓换月影响,昨日IF1602成交9069手,持仓7665手,日减仓5007手;IH1602成交3280手,持仓3493手,日减仓1715手;IC1602成交5978手,持仓5317手,日减仓3272手。与此同时,IF1603合约持仓29275手,增仓4975手;IH1603合约持仓13108手,增仓1871手;IC1603持仓16861手,增仓2932手。   宏源期货期指分析师杨文璐表示,期指市场周二周三连续两天量价齐升,直到周四股市冲高回落,最终小幅收跌。这波反弹由多因素导致。首先,春节期间美联储主席发表鸽派言论,美国市场也大幅下调加息预期,全球股市迎来喘气之机;其次,春节期间离岸人民币汇率也持续上涨,节后在岸人民币汇率向离岸靠拢,人民币汇率企稳,缓解了国内市场对于资金外流的担忧;第三,1月人民币信贷、M2增速大超市场预期,八部委强调金融支持工业稳增长,短期内市场对经济增长的预期受到提振。周四市场出现小跌,仍是在技术上考验上证综指2850点关键压力位,若站稳,将向上突破,更大幅度反弹可期。但股市目前并无增量资金,存量资金博弈下难出趋势性行情,高抛低吸的操作策略为宜。   反观A股市场,周四大盘上攻2900点未果,在2850点一线震荡调整,个股出现分化趋势,板块轮动效应较为明显,但场内资金仍较活跃。部分分析师认为,昨日两市成交金额与前一日基本持平,量能不足以推动股指突破当前区间压力位,短期或将延续震荡趋势。   广发期货股指研究员胡岸认为,从市场信心角度来看,前期影响市场的利空因素逐渐消散,同时春节期间人民币表现较强,有助于改善投资者悲观预期,提升风险偏好,股指反弹行情有望延续。技术面上,周三股指年内首次放量站上20日均线,周四放量收阴,显示连续大涨后获利盘回吐压力较大,建议投资者谨慎追涨,短线逢低买入仍有机会。 进入【新浪财经股吧】讨论相关的主题文章: