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2010年,国际经济形势动荡不安,希腊和欧元区的债务危机及各发达国家的财政危机更使得国际金融市场受到强烈冲击,直接表现为各国货币外汇交易价格的大幅波动。通过作者在为期一个月的模拟外汇操作中的交易报告来分析各笔交易的策略、信息应用以及成败原因探究。旨在通过实际的操作,针对各种策略的运用以及信息的应用做出有佐证的分析,为外汇交易提供有实践性意义的资料。
In 2010, the international economic situation was volatile. The debt crisis in Greece and the euro zone and the financial crisis in various developed countries also brought a severe impact on the international financial markets. This was directly manifested in the drastic fluctuations in the prices of currency foreign exchange transactions in various countries. Through the author in a month-long simulation of foreign exchange operations in the transaction report to analyze the strategy of each transaction, the application of information and explore the reasons for the success or failure. The aim is to provide corroborative analysis on the application of various strategies and information through practical operation and provide practical information for foreign exchange transactions.