Affected by the terrorist attacks in France, market volatility will increase, and investors can focus on possible structural opportunities in three areas: first, national security; Second, it is related to safe-haven assets; Third, under the impact of European economy, the possible regional substitution effect will give birth to investment opportunities. In terms of stock index, raising the minimum margin ratio between the two companies will affect the growth of financing balance to a certain extent. After the IPO is restarted, the prospectus of the first batch of companies is expected to be announced next week, and the stock market funds will be diverted in the short term. As for the national debt, the price of the last cycle debt continued to adjust, and the TF 15 12 and T 15 12 contracts fell by 0. 15% and 0.32% respectively, which accelerated the change of warehouse season.
For commodity futures, under the background of the appreciation of the US dollar, weak global economy and light capitalization of China's economy, there is no end in sight for the bear market, but gold, as a safe-haven asset, may have short-term trading opportunities. In addition, the conflict situation in the Middle East has suddenly changed and become more and more complicated. If the war expands, or this incident continues to ferment, it will also have an impact on the meeting of the Organization of Petroleum Exporting Countries in June+February, 5438. There may be an event rebound opportunity for crude oil. Investors should pay close attention to the changes in the news and operate the transaction in time.