摘要
2011年1月,美元指数总体下跌,美元对欧元、英镑走弱,对日元走强;主要货币短期利率上升;主要国家中长期国债收益率上升;全球主要股指振荡上涨。
In January 2011,US dollar index fell down overall.The US dollar went weak against EUR and GBP and turned strong against JPY.Short-term interest rates of major currencies rose,and major countries' mid- and long-term T-bond yields increased.The world's major stock index went up with fluctuations.
出处
《中国货币市场》
2011年第2期53-56,共4页
China Money
关键词
汇率走势
短期利率
中长期国债收益率
exchange rate trends
short-term interest rates
mid-and long-term T-bond yields