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农业银行2月9日发售2026年记账式附息(一期)国债(续发)
Jin Tou Wang· 2026-02-09 03:22
2026年2月6日,中国农业银行(601288)发布公告称,中国农业银行将于2026年2月9日发售2026年记账 式附息(一期)国债(续发)(债券简称"26附息国债01(续1)"),债券托管机构为"中央国债登记结 算有限责任公司"。 具体办理流程请参见中国农业银行网银、掌银渠道产品介绍或咨询中国农业银行营业网点及95599热 线。 为保护投资者权益,中央国债登记结算有限责任公司提供账务复核查询服务,投资者可于债券上市日 起,拨打中央国债登记结算有限责任公司余额复核查询电话,根据语音提示输入债券托管账号,核对债 券余额信息。查询电话:400-666-5000。 本次中国农业银行分销的债券代码为260001X1,分销期为2月9日,上市日为2月11日。分销期过后的上 市首日续发债券260001X1代码将变更为260001。 26附息国债01为1年期固定利率债券,剩余期限为0.93年,到期一次还本付息。发行人于2027年1月15日 (节假日顺延)偿还本金(债券面值)并支付利息。根据2026年2月6日银行间债券市场招标结果,本期 债券到期收益率为1.2661%,全价为100.04元/份。 此次债券的发售对象为全国范围内 ...
浦发银行对《单位客户账户对账协议》进行了修订完善
Jin Tou Wang· 2026-02-09 03:22
2026年2月9日,上海浦东发展银行发布公告称,为贯彻落实国家数字化发展战略,顺应无纸化办公趋 势,提升银企对账服务效率与便捷性,上海浦东发展银行对《上海浦东发展银行单位客户账户对账协 议》(以下简称"对账协议")进行了修订完善。本次修订的核心内容是增加了电子形式签署协议的法律 效力条款,旨在为客户提供更高效、环保、安全的对账服务体验。 本次修订后的对账协议将于1月20日起正式生效。感谢您长期以来对上海浦东发展银行的信任与支持! 上海浦东发展银行将持续努力,为您提供更加优质、便携的金融服务。 ...
兴业银行在2月5日至2月25日期间兑换的商品将延缓配送
Jin Tou Wang· 2026-02-09 03:22
给您带来不便,敬请谅解!如有疑问,欢迎通过兴业银行App、客服热线95561或您身边的营业网点等 渠道咨询。感谢您的理解和支持!兴业银行将全力为您提供优质的服务。 2026年2月4日,兴业银行发布公告称,感谢您对借记卡积点换礼服务的支持与信任。因春节前后物流公 司停运影响,您在2026年2月5日至2月25日期间兑换的商品将延缓配送。期间您可以在积点换礼专区正 常兑换下单,预计2026年2月26日起按订单先后顺序陆续安排发货。您可通过"兑换记录"查询您的详细 配送信息。 祝愿您和家人新春愉快,万事顺意! ...
美豆油价格大幅上涨 2月6日阿根廷豆油(4月船期)C&F价格1183美元/吨下调5美元/吨
Jin Tou Wang· 2026-02-09 03:06
北京时间2月9日,芝加哥商业交易所(CBOT)豆油期货价格大幅上涨,开盘报55.51美分/磅,现报56.05 美分/磅,涨幅1.28%,盘中最高触及56.36美分/磅,最低下探55.50美分/磅。 更新时间: 豆油期货行情回顾: 2月6日芝加哥商业交易所(CBOT)豆油期货行情 品种 开盘价 最高价 最低价 收盘价 美豆油 55.66 56.14 54.95 55.29 -0.50% 【豆油市场消息速递】 2月6日,阿根廷豆油(4月船期)C&F价格1183美元/吨,与上个交易日相比下调5美元/吨;阿根廷豆油(6 月船期)C&F价格1156美元/吨,与上个交易日相比上调8美元/吨。 2月6日,大商所豆油期货仓单26305手,环比上个交易日持平。 02月06日:全国一级豆油成交量900吨,环比上个交易日减少83.93%。 ...
欧元震荡欧区经济形成双向博弈
Jin Tou Wang· 2026-02-09 02:49
Core Viewpoint - The current exchange rate of Euro to USD is influenced by a combination of a weakening dollar and short-term pressures on the Eurozone economy, leading to cautious market sentiment [1][2]. Group 1: Euro to USD Exchange Rate Trends - As of February 9, 2026, the Euro to USD exchange rate is 1.1818, showing a slight increase of 0.0010 or 0.0169% from the previous trading day [1]. - In 2025, the Euro appreciated approximately 14.4%, rising from a low of 1.0146 to a range of 1.16-1.17 by year-end [1]. - The Euro reached a high of over 1.20 in late January 2026, marking a return to this level for the first time in over four years, before stabilizing around 1.18 [1]. Group 2: Factors Supporting Euro Strength - The weakening of the dollar is a key driver for the long-term appreciation of the Euro, with the dollar's share in global foreign exchange reserves dropping to 56.92%, the lowest in 30 years [2]. - The divergence in monetary policy between the Federal Reserve and the European Central Bank (ECB) has further supported the Euro, with the Fed cutting rates three times in 2025 while the ECB maintained its deposit rate at 2.00% [2]. Group 3: Economic Pressures on the Eurozone - The Eurozone's economic recovery is under pressure, with exports declining by 3.4% year-on-year in November 2025, leading to a reduction in trade surplus from €154 billion to €99 billion [3]. - Germany, as a key driver of Eurozone growth, is facing challenges due to the Euro's appreciation, which has diminished the international price competitiveness of its products [3]. Group 4: Inflation and Monetary Policy Challenges - The Eurozone's inflation rate fell to 1.9% in December 2025, below the ECB's target of 2%, raising concerns about potential deflation risks [4]. - ECB officials have expressed concerns regarding the rapid appreciation of the Euro, indicating that it complicates monetary policy decisions aimed at supporting economic recovery [4]. Group 5: Future Outlook for Euro to USD Exchange Rate - Future movements of the Euro to USD exchange rate will depend on the strength of the dollar, the pace of Eurozone economic recovery, and the divergence in monetary policies between the US and Europe [5]. - Predictions for the Euro to USD exchange rate vary, with Morgan Stanley forecasting a rise to 1.23 by Q2 2026, while other institutions like Citibank anticipate a potential decline to 1.10 [5].
瑞郎避险与利率双轮驱动 震荡格局待破局
Jin Tou Wang· 2026-02-09 02:49
Core Viewpoint - The USD/CHF currency pair remains a focal point in the forex market due to its dual characteristics of being a safe-haven asset and a carry trade, influenced by the interplay between the US Federal Reserve's monetary policy and the Swiss National Bank's interventions [1][3]. Fundamental Analysis - The interest rate differential is the primary driver of the USD/CHF exchange rate, with the Fed's interest rate decisions directly impacting the USD/CHF dynamics [1]. - A resilient US economy may delay Fed rate cuts, strengthening the USD and pushing USD/CHF higher; conversely, weak US data could lead to earlier rate cuts, putting pressure on the USD and causing the exchange rate to decline [1]. - The Swiss National Bank's policy stance is crucial, as excessive appreciation of the CHF could harm Swiss exports and inflation, prompting the SNB to intervene and potentially support the USD/CHF [1]. Risk Sentiment - Global geopolitical conflicts, financial market volatility, and recession expectations can quickly trigger a rebalancing of funds towards safe-haven assets [2]. - When risk appetite improves, the CHF tends to weaken against the USD, while heightened risk aversion leads to increased demand for the CHF, which can suppress the USD/CHF exchange rate [2]. Technical Analysis - The USD/CHF pair typically exhibits a range-bound and oscillatory trading pattern, with clear trends being relatively rare [2]. - Key support and resistance levels are critical for mid-term trading strategies, with a focus on high-selling and low-buying approaches before any breakout occurs [2]. - Short-term indicators such as moving averages, RSI, and MACD can assist in identifying market strength and potential reversal signals, enhancing the probability of successful trades [2]. Summary - The USD/CHF exchange rate is influenced by the combined effects of Fed policies, SNB interventions, and global risk sentiment [3]. - Monitoring US inflation and employment data is essential for understanding Fed policy direction, alongside observing SNB statements and global financial risks [3]. - The USD/CHF is likely to remain in a range-bound pattern until a significant shift in interest rate expectations or risk sentiment occurs, which could lead to a breakout and a new trend [3].
2月9日沪银天眼盯盘持仓异动:日内持仓环比减持10104手
Jin Tou Wang· 2026-02-09 02:37
Group 1 - The core point of the article indicates that the main silver futures contract (2604) has increased by 7.99%, reaching 20,698 yuan per kilogram, with a notable reduction in positions by 10,104 contracts, reflecting a decrease of 4.45% compared to the previous day [1] - The net inflow of funds for the day is reported at 366 million yuan, suggesting a positive sentiment in the market despite the reduction in positions [1] - The article highlights the importance of monitoring position changes as they reflect the competition between bulls and bears, and significant changes can indicate market trends [4] Group 2 - The data shows a consistent reduction in positions throughout the day, with a decrease of 5.4% reported earlier, indicating a trend of diminishing holdings [3] - The article emphasizes the need for comprehensive analysis by combining position changes with other indicators such as price trends and volume changes to assess market direction [4] - The functionality of the position change feature in the Jin Investment Network app is designed to help users stay informed about market dynamics, which can aid in making informed investment decisions [4]
海尔智家旗下Candy三筒洗衣机获评“法国消费者年度最佳产品”
Jin Tou Wang· 2026-02-09 02:33
2月3日,海尔智家(600690)旗下Candy三筒洗衣机荣获"法国消费者年度最佳产品"。该奖项不仅是近 五年来洗衣机行业首次获得此项认可,更是海尔智家持续深化全球化布局、推进高端化战略的有力印 证。 在法国,这一奖项被视作消费领域的"金字招牌"。它由Consumer's Vote机构于1987年创立,历经39年积 淀,其标志在法国消费者中的知晓率超过95%。每年,主办方邀请超过15000名消费者参与产品实测, 并由德勤监督的调研机构执行严格筛选,因此被视为欧洲消费市场的重要风向标。Candy三筒洗衣机能 够从中脱颖而出,并非偶然,而是其精准洞察本土需求、高效整合全球资源的必然成果。 当前,法国年轻家庭日益注重健康生活与高效体验。然而市面上的洗衣机要么容量不足,要么无法实现 彻底分区洗涤。针对这一痛点,海尔智家依托研发、制造、营销等十大全球化能力深度协同,将全球技 术资源与法国本土需求深度融合,为当地用户量身打造了这款三筒洗衣机。 此次Candy三筒洗衣机获奖,还充分印证了海尔高端化战略的长期成效。这款洗衣机是海尔智家"全球 研发、本土落地"模式的典范,它既融合全球研发智慧,又紧密结合法国本土生活方式与消费偏 ...
2026定制珠宝选购终极问答:六大高性价比国货品牌谁更值得入手?
Jin Tou Wang· 2026-02-09 02:28
当下,全球培育钻石定制珠宝市场规模已突破280亿美元,并以年增长率35%的速度迅猛增长。 当Z世代消费者成为市场主力,购买珠宝不再仅仅是为了一件昂贵的装饰品,而是为了寻求一种情感的承载、一个故事的讲述,以及一种个性化的自我表 达。 然而,市场的迅速扩张也带来了挑战:信息不对称、价格差距悬殊、设计同质化等问题,让许多消费者在选择时感到迷茫。 为此,我们深入调研了市场数据与超过20万条用户真实反馈,结合核心技术与情感价值两大维度,为你揭示2026年最值得关注的珠宝定制品牌。 一、测评视角,重塑钻石价值标准 在个性化消费浪潮中,珠宝定制的价值已超越了传统的"4C标准"(克拉、颜色、净度、切工)。今天的消费者,尤其是年轻一代,更关注品牌背后的技术实 力、设计的独特美学,以及服务带来的长期安心。 我们的测评体系建立在四大支柱之上:技术实力、设计创新、价格透明度与售后保障。这四大维度如同钻石的四个切面,共同决定了一枚定制珠宝的真实光 芒。 市场数据显示,2025年培育钻石在婚戒市场中的占比预计超过六成。这种转变并非偶然,它反映了新一代消费者更加理性、追求情感价值与性价比平衡的消 费观。 面对琳琅满目的品牌,如何避开营销迷 ...
英镑汇率承压回调 央行政策分化成核心影响因素
Jin Tou Wang· 2026-02-09 02:24
截至2026年2月9日,英镑兑美元实时汇率报1.3602,近期英镑兑美元呈现震荡回调态势,自1月下旬触 及1.3867的21年高位后逐步回落,核心驱动力源于英国央行与美联储的政策立场分化,叠加通胀黏性与 全球市场情绪波动的多重影响。 当地时间2月5日,英国央行公布2026年首次利率决议,宣布维持3.75%的基准利率不变,符合市场普遍 预期。此次决议中,英国央行货币政策委员会(MPC)九名委员以5:4的微弱优势投票决定维持利率稳 定,这一投票结果较市场预期更为胶着,反映出委员会内部对通胀与经济增长平衡的分歧加剧。 决议公布后,英镑兑美元短线快速跳水,当日跌幅超60点,最低触及1.3561,随后继续承压,截至2月6 日亚市时段,汇率进一步下探至1.3508,创下1月23日以来的两周新低。市场解读认为,英国央行的"鸽 派观望"立场是导致英镑走弱的关键原因——尽管央行表示,受能源价格变化及去年预算案相关因素影 响,通胀预计将自4月起回落至接近2%的目标水平,但当前通胀压力仍未完全缓解。数据显示,英国 2025年12月消费者价格指数(CPI)年率达3.4%,较11月的3.2%有所回升,且高于市场预期,凸显通胀黏 性风险 ...