欧元/美元:期权信号预战体制 – 德国商业银行
德国商业银行(Commerzbank)的迈克尔·菲斯特(Michael Pfister)分析了欧元/美元期权,指出自伊朗冲突以来,隐含波动率与风险反转之间的关系已恢复到“解放日”前的模式。

德国商业银行(Commerzbank)的迈克尔·菲斯特(Michael Pfister)分析了欧元/美元期权,指出自伊朗冲突以来,隐含波动率与风险反转之间的关系已恢复到“解放日”前的模式。他认为,欧元兑美元走弱有基本原因,市场可能正在回归一个长期的均衡状态,在这个状态下,美元保持避险特性。

期权市场与避险动态

“之前,较高的隐含波动率通常伴随着对美元强势的对冲需求增加(即,欧元/美元风险反转更为负面)。”

“然而,自伊朗冲突开始以来,欧元/美元的关系似乎也出现了动摇。”

“一方面,这是因为与美元相比,欧元走弱有充分的理由。因此,想要对冲美元走强是合乎逻辑的。”

“另一方面,我也怀疑市场在根本上倾向于回归其以前的均衡状态。我的意思是:避险地位相当稳固,市场在长期内偏离这一状态需要反复的干扰。”

“在四月的过程中,这一长期存在的关系发生了变化,这并不仅限于欧元/美元,尽管这一变化在其他货币对中持续的时间并不长。”

(本文由人工智能工具协助创建,并由编辑审核。)

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