Gold led commodity futures nickel plummeted 6%-antik

Gold futures plunged 6% nickel led the hot column capital flows thousands of thousands of stocks the latest Rating Rating diagnosis simulated trading client in February 15th, the domestic futures market after the Spring Festival holiday on the first day of trading, commodity futures were mixed. Deliver the goods of gold, led the market. Shanghai 1606 gold futures contract gapped, rose more than 5%. But the larger decline in non-ferrous metal futures in Shanghai futures exchange, nickel 1605 futures contract fell over 6%, copper fell nearly 2%. During the Chinese Spring Festival holiday, the global commodity market suffered a "nightmare" week. International commodities such as copper and nickel plummeted first and then rebounded. Among them, the ups and downs of international oil prices. In the past week, New York WTI crude oil, the maximum cumulative decline was more than 15%, hit the lowest point in 2002, London Brent crude oil prices also set a record low since 2003. But in the organization of Petroleum Exporting Countries (OPEC) cut rumors in February 12th, a substantial boost, New York crude oil futures contract in March its biggest one-day gain since 2009, closing up 12.32%, to $29.44 a barrel. Brent’s crude oil futures contract rose 10.98% in April, at $33.36 a barrel. In February 12th, the international price of copper rose, the London Metal Exchange (LME) copper closed up 1.2%, to $4500 a tonne, but last week, weekly decline of nearly 3% for about a month, the biggest weekly decline. Nickel surged 3% to $7820 a tonne, but the weekly cumulative decline was 4.5%, and last Wednesday it dropped to $7550 a tonne in 2013. During the long holiday, the stock market was as bleak as commodities, and the Nikkei index fell 11% last week, the biggest weekly decline in 8 years. The European and American stock markets collapsed once a week, 4 days a week, and rebounded sharply on Friday. To deal with the stock market, commodity market turmoil, investors into the gold and silver hedging assets, the price of gold last week, the cumulative rose more than 7%, broke through the $1200 mark, a record seven years the biggest weekly gain. As of February 9th, COMEX gold non-commercial net long increased 25606 to 98428 hand in hand, COMEX silver non commercial net long increased 14094 to 52682 hand in hand, was a 14 week high. Shanghai mid term futures pointed out that February 15th was the birthday of Washington D. C., and the financial market in the United States was closed for one day. Overall, the main national stock market fell sharply and Yellen dovish remarks that risk aversion, funds into the gold market, long thought operation suggestions. Yongan futures analyst Ren Xinpu believes that during the festival, the international crude oil fell, before the domestic chemical industry chain of various varieties of continuous price rebound, hindered internal and external influence, weakened. By the Spring Festival, stocking, production opening and major infrastructure projects to be started, PP, PE, PVC, methanol, and asphalt are likely to continue to rebound or climb. Before the rebound black, coking coal, coke, ore, steel, coil, by capacity regulation, the impact of higher prices, maintain flat or continue to rebound do not matter

黄金领涨商品期货 镍暴跌6% 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   2月15日,春节长假后国内期货市场第一个交易日,商品期货涨跌互现。黄金不负众望,领涨市场。上海期货交易所黄金1606合约跳空高开,上涨超过5%。但有色金属期货跌幅较大,上海期货交易所镍期货1605合约跌幅超6%,沪铜跌幅也近2%。   中国春节长假休市期间,全球商品市场遭遇“噩梦”一周。   国际铜、镍等大宗商品先暴跌后反弹。其中,国际油价起伏最大。在过去的一周,纽约WTI原油最大累计跌幅一度超过15%,触及2002年的最低点,伦敦布伦特原油价格也刷新了2003年以来的新低。但在石油输出国组织(OPEC)减产传闻下大幅提振,2月12日,纽约原油期货3月合约创下2009年以来最大单日涨幅,收盘上涨12.32%,报每桶29.44美元。布伦特4月原油期货合约也收涨10.98%,报每桶33.36美元。2月12日,国际铜价上涨,伦敦金属交易所(LME)期铜收涨1.2%,报每吨4500美元,但上周周线下跌近3%,为约一个月来最大周度跌幅。期镍劲涨3%,收报每吨7820美元,但周累计跌幅达4.5%,在上周三还曾降至2013年低点每吨7550美元。   长假期间,与大宗商品一样惨淡的还有股票市场,日经指数上周重挫11%,创8年最大周跌幅。欧美股市也一度全线崩盘,一周大跌4天,周五才出现大幅反弹。为应对股市、商品市场的动荡,投资者涌入黄金、白银等避险资产,上周金价累计涨逾7%,一举突破1200美元关口,创下七年最大单周涨幅。截至2月9日,COMEX期金非商业净多头大幅增加25606手至98428手,COMEX期银非商业净多头大幅增加14094手至52682手,均创14周以来新高。上海中期期货指出,2月15日为美国华盛顿诞辰纪念日,美国金融市场休市一天。   总体来看,主要国家股市大幅下挫及耶伦鸽派言论令避险情绪升温,资金涌入金市,建议多头思路操作为主。永安期货分析师任新普认为,节日期间,国际原油下跌,节前国内化工产业链诸品种连续反弹,外内价格传导受阻,影响减弱。节后看,受春耕备货、生产开启以及各大基建项目即将开工影响,PP、PE、PVC、甲醇,甚至沥青等都有可能延续反弹或者止跌。节前反弹的黑色系,焦煤、焦炭、矿石、螺纹钢、热卷等,受到产能调控、价格走高影响,维持走平或者延续反弹不无可能。农产品方面,几大主力品种豆粕、鸡蛋、菜粕、豆油等,预计将受到节日消费退出、自身基本面偏差影响而反弹乏力或者走弱。软商品白糖、棉花,节日期间外市共同走低,节后国内市场仍将受压。郑州棉花将受到外盘下跌和国内抛储预期等多重利空影响,再试新低。(国际金融报记者 张竞怡) 进入【新浪财经股吧】讨论相关的主题文章: