04/07/2017
このレポートは、株式、為替、債券および商品の主要16市場のリスク構造とリスク予測値(1か月予測)を示しています。
主要16市場は、株式(Dow, NASDAQ, Russell2000, SP500, Nikkei225, DAX および FTSE100), 為替(USD/JPY, EUR/USD および GBP/USD), 債券(USA, Japan, Germany お
This report takes a month view of 16 Major Markets (stocks, currecies, bonds and commodities).
16 Major Markets are Stock Indices(Dow, NASDAQ, Russell2000, SP500, Nikkei225, DAX and FTSE100), Currencies(USD/JPY, EUR/USD and GBP/USD), Government Bonds(USA, Japan, Germany and UK) and Commodities(Oil and Gold).
Summary of 1 month forecasting (+1σ, Average, -1σ)
●Stock Indices
DOW30 (21,011.15, 20,625.57, 20,239.99)
NASDAQ (5,993.33, 5,937.13, 5,880.94)
RUT (1,440.74, 1,376.16, 1,311.58)
SP500 (2,408.22, 2,363.32, 2,318.43)
Nikkei225 (18,921.84, 18,397.27, 17,872.71)
DAX (12,655.62, 12,184.96, 11,714.30)
FTSE100 (7,594.83, 7,369.59, 7,144.35)
●Currencies
USD-JPY (116.24, 112.49, 108.75)
EUR-USD (1.08, 1.05, 1.01)
GBP-USD (1.26, 1.21, 1.17)
●Government Bonds
US10YGB (2.40, 2.22, 2.03)
JPN10YGB (0.08, 0.04, 0.00)
DEU10YGB (0.43, 0.28, 0.13)
UK10YGB (1.20, 1.04, 0.88)
●Commodities
CrudeOIL (55.80, 53.18, 50.55)
GOLD (1,333.39, 1,265.81, 1,198.24)