Nikkei 225 mencatatkan peningkatan sebanyak 0.62%, menutup pada 39,372.93, didorong oleh kestabilan serantau dan aktiviti korporat yang positif.
Perkembangan politik di Korea Selatan dan strategi pertumbuhan korporat memacu optimisme pasaran.
Langkah utama dari Starzen dan Rakuten menambah sentimen optimis di Jepun.
Nikkei 225 mengakhiri hari dengan nota positif, mencatatkan peningkatan 0.62% untuk mencapai 39,372.93. Peningkatan ini berlaku ketika ketegangan politik serantau menunjukkan tanda-tanda mereda, sementara berita korporat yang kukuh lebih menyokong momentum kenaikan pasaran.
Situasi politik di Korea Selatan pada awalnya memberi tekanan kepada sentimen pelabur, tetapi pengumuman usul pemecatan terhadap Presiden Yoon Suk Yeol membantu menstabilkan keadaan. Usul ini mengikuti kemarahan awam yang meluas terhadap pengisytiharan undang-undang tentera yang kontroversial oleh Yoon, yang telah mencetuskan ketegangan di dalam dan luar negara.
South Korea's parliament introduced a motion to impeach President Yoon Suk Yeol over a botched attempt to impose martial law, while the defense minister blamed for advising the move and ordering troops to the parliament resigned https://t.co/zRO7sOZZrd
Sementara undian masih belum dilakukan, pasaran optimis bahawa kestabilan politik akan dipulihkan, yang membantu meningkatkan sentimen di Jepun.
Analisis Teknikal
Marilah kita melihat pergerakan Nikkei.
Gambar: Nikkei menunjukkan pemecahan harga dengan potensi momentum bullish atau bearish, seperti yang dilihat di aplikasi VT Markets.
Dari carta, kami melihat fasa neutral hingga bearish jangka pendek, mengukuhkan antara sokongan 39,200 dan rintangan 39,700. Pedagang aksi harga harus memantau pelanggaran mana-mana tahap ini untuk arah yang lebih jelas.
Jika pasaran mengekalkan sokongan, kemungkinan pergerakan ke arah rintangan 39,800 boleh dijangkakan, tetapi kegagalan untuk mengekalkan sokongan boleh menolak harga lebih rendah.
Walaupun terdapat ketidakpastian global, prestasi kukuh Nikkei 225 mencerminkan optimisme yang semakin meningkat di sekitar syarikat-syarikat Jepun, yang menunjukkan daya tahan melalui pengambilalihan strategik dan penyelesaian pembiayaan inovatif.
Mulai trading sekarang — klik di sini untuk membuat akun live VT Markets Anda.
Written on December 6, 2024 at 10:02 am, by anakin
Please note that the dividends of the following products will be adjusted accordingly. Index dividends will be executed separately through a balance statement directly to your trading account, and the comment will be in the following format “Div & Product Name & Net Volume ”.
Please refer to the table below for more details:
The above data is for reference only, please refer to the MT4/MT5 software for specific data.
If you’d like more information, please don’t hesitate to contact [email protected].
Optimisation Hours:
07th of December 2024 (Saturday) 00:00–03:00 (GMT+2)
Please note that the following aspects might be affected during the optimisation:
1. The price quote and trading management for the optimised products will be temporarily disabled during the optimisation period.You will not be able to open new positions, close open positions, or make any adjustments to trades.
2. There might be a gap between the original price and the price after optimisation.Gaps between Pending Orders, Stop Loss, and Take Profit will be filled at the market price once the maintenance is completed. It is suggested that you manage the account properly.
Please refer to the MT4 & MT5 software for specific optimisation completion and market opening times.
Thank you for your patience and understanding regarding this important initiative.
If you’d like more information, please don’t hesitate to contact [email protected].
Please note that the dividends of the following products will be adjusted accordingly. Index dividends will be executed separately through a balance statement directly to your trading account, and the comment will be in the following format “Div & Product Name & Net Volume ”.
Please refer to the table below for more details:
The above data is for reference only, please refer to the MT4/MT5 software for specific data.
If you’d like more information, please don’t hesitate to contact [email protected].
SYDNEY, AUSTRALIA – 5 December 2024– As the FIA Formula E World Championship enters a thrilling new chapter, VT Markets is excited to continue its partnership with Maserati MSG Racing for Season 11, set to kick off in São Paulo on 7 December 2024. After a memorable Season 10, we are ready to push forward with even greater ambition as we join Maserati MSG Racing for a brand-new season ahead.
A Winning Partnership, Continuing into Season 11
After a remarkable Season 10 which saw the team take a landmark victory at the inaugural E-Prix in Tokyo, VT Markets is proud to continue supporting the team in their quest for even greater success. The collaboration between two industry giants—the dynamic world of Formula E and the innovative financial services of VT Markets—has proven to be an extraordinary force.
The Road Ahead
Season 11 promises to take us even further with the arrival of Stoffel Vandoorne and Jake Hughes to the team for the 2024/25 Formula E season. Together, Stoffel and Jake will face a critical season ahead, with the debut of the Gen3 Evo car and 17 action-packed races on the calendar. We are thrilled to have these exceptional drivers representing VT Markets and Maserati MSG Racing in the 2024/25 Formula E campaign.
This season will see our brand proudly featured across the Maserati MSG Racing Gen3 Evo cars, driver suits, and team gear, reinforcing our belief that motorsport and finance share the same core values of precision, performance, and opportunity.
Season 11 will feature a record-breaking 17 races, starting with the season opener in São Paulo, Brazil on 7 December 2024. From there, the team will race around the world, with VT Markets by their side, supporting the team’s pursuit of victory and excellence.
The shared beliefs in innovation, performance, and sustainability continue to fuel this partnership. Just as Maserati MSG Racing has pushed the boundaries of motorsport with cutting-edge technology and top-tier performance, VT Markets has redefined online trading, making it more accessible, efficient, and user-centric.
In Their Words
Dandelyn Koh, Global Brand and PR Lead shares: “Season 11 marks a pivotal moment in our partnership with Maserati MSG Racing. After an incredibly successful Season 10, we’re thrilled to continue our journey together, driven by our shared values of excellence and innovation. As we look to the future, we are excited to see where this partnership can take us—not just on the track, but in the world of finance.”
Cyril Blais, Team Principal, Maserati MSG Racing: “We are delighted to continue our partnership with VT Markets into Season 11. Our partners are an integral part of our family and they play a critical role in our journey. Innovation is at the heart of what we do as a racing team, and so to attract like-minded partners, who share and believe in our mission, is essential for our continued success as a racing team. Coming from the fast-paced world of finance, VT Markets fully understands our relentless pursuit of performance excellence in Formula E, and our shared passion for technical innovation will make for a dynamic, exciting, and hopefully rewarding journey together in Season 11 and beyond.”
About VT Markets
VT Markets is a regulated multi-asset broker with a presence in over 160 countries as of today. It has earned numerous international accolades including Best Online Trading and Fastest Growing Broker. In line with its mission to make trading accessible to all, VT Markets offers comprehensive access to over 1,000 financial instruments and clients benefit from a seamless trading experience via its award-winning mobile application.
Maserati MSG Racing is one of the founding teams of the FIA Formula E World Championship and in December 2013, became the first manufacturer to join motorsport’s premier fully-electric category. As one of only a handful of constant participants since the series’ inaugural 2014/15 season, MSG Racing has moved from strength to strength and tasted vice World Championship success in 2021 before completing its most successful season to date in 2022, finishing the campaign as the vice World Teams’ Champions.
Led by Team Principal, Cyril Blais, the Monégasque marque is at the forefront of sustainability, EDI, technical innovation, and excellence. For further information, visit our website. For media hub access and rights-free content, please register here.
Maserati MSG Racing Media Contact: Liz Brooks – Communications Director
Please note that the dividends of the following products will be adjusted accordingly. Index dividends will be executed separately through a balance statement directly to your trading account, and the comment will be in the following format “Div & Product Name & Net Volume ”.
Please refer to the table below for more details:
The above data is for reference only, please refer to the MT4/MT5 software for specific data.
If you’d like more information, please don’t hesitate to contact [email protected].
Please note that the dividends of the following products will be adjusted accordingly. Index dividends will be executed separately through a balance statement directly to your trading account, and the comment will be in the following format “Div & Product Name & Net Volume ”.
Please refer to the table below for more details:
The above data is for reference only, please refer to the MT4/MT5 software for specific data.
If you’d like more information, please don’t hesitate to contact [email protected].
New contracts will automatically be rolled over as follows:
Please note:
• The rollover will be automatic, and any existing open positions will remain open.
• Positions that are open on the expiration date will be adjusted via a rollover charge or credit to reflect the price difference between the expiring and new contracts.
• To avoid CFD rollovers, clients can choose to close any open CFD positions prior to the expiration date.
• Please ensure that all take-profit and stop-loss settings are adjusted before the rollover occurs.
• All internal transfers for accounts under the same name will be prohibited during the first and last 30 minutes of the trading hours on the rollover dates.
If you’d like more information, please don’t hesitate to contact [email protected].
Please note that the dividends of the following products will be adjusted accordingly. Index dividends will be executed separately through a balance statement directly to your trading account, and the comment will be in the following format “Div & Product Name & Net Volume ”.
Please refer to the table below for more details:
The above data is for reference only, please refer to the MT4/MT5 software for specific data.
If you’d like more information, please don’t hesitate to contact [email protected].
Pendekatan Federal Reserve terhadap polisi kewangan akan menentukan sentimen pasaran apabila pedagang menilai keadaan ekonomi menjelang Disember.
Federal Reserve telah mengurangkan kadar faedah sebanyak 75 mata asas dalam tahun 2024. Polisi akomodasi ini telah memberikan lonjakan kepada pasaran ekuiti, dengan S&P 500 mendaki lebih daripada 25% setakat tahun ini.
The Federal Reserve lowered its benchmark overnight borrowing rate by a quarter percentage point, or 25 basis points, to a target range of 4.50%-4.75%. The vote was unanimous.
Trend bullish ini mencerminkan optimisme pedagang mengenai penyesuaian kadar lanjut untuk menyokong pertumbuhan.
FedWatch Tool CME kini menunjukkan kemungkinan 66% untuk pengurangan kadar sebanyak 25 mata asas pada mesyuarat 18 Disember, yang akan menyesuaikan julat sasaran dana persekutuan kepada 4.25%–4.50%. Walau bagaimanapun, keputusan ini bergantung pada data ekonomi yang akan datang.
Laporan pekerjaan Disember dijangka memberi penerangan mengenai keadaan pasaran buruh, dengan ramalan 202,000 pekerjaan baru bukan pertanian yang berbeza dengan penambahan 12,000 yang sederhana pada bulan Oktober. Kelembapan pada bulan Oktober dikaitkan dengan gangguan dari hurikan dan mogok buruh.
Sekiranya angka-angka Disember memenuhi atau melebihi jangkaan, ia boleh mengukuhkan persepsi kekuatan dalam pasaran buruh. Walau bagaimanapun, peningkatan pengangguran—yang dijangka berada pada 4.2%, naik daripada 4.1%, mungkin akan menimbulkan jangkaan pasaran yang berhati-hati dan mempengaruhi pendirian Fed terhadap pengurangan kadar masa depan.
Inflasi semasa kekal di atas sasaran 2% Fed. Laporan pekerjaan yang kuat digabungkan dengan pengangguran yang stabil atau berkurang boleh mengurangkan harapan untuk penyejukan lanjut pada tahun 2025, manakala data yang lemah menguatkan kemungkinan langkah-langkah akomodasi yang berpanjangan.
Para peserta pasaran mungkin akan berminat dengan ISM Manufacturing PMI pada 47.7, yang mencerminkan pengecutan tetapi mencadangkan peningkatan daripada 46.5 sebelumnya.
Begitu juga, ISM Services PMI, yang diramalkan pada 55.5 berbanding 56.0, akan memberikan pandangan ke dalam sektor bukan pembuatan. Kedua-dua laporan boleh mempengaruhi laluan polisi Fed dan membentuk pergerakan pasaran dalam masa terdekat.
Pergerakan Pasaran Minggu Ini
Indeks Dollar US (USDX) menunjukkan momentum yang lemah selepas berdagang naik daripada kawasan 105.40 yang dipantau. Pedagang sedang memerhatikan zon sokongan berhampiran 104.90 atau 104.30, di mana tindakan harga bullish dijangka jika indeks bergerak lebih rendah.
Harga minyak mentah, khususnya WTI, telah memasuki fasa struktur yang rumit. USOil baru-baru ini menguji paras 69.67 untuk kali ketiga sebelum berundur. Jika harga memecah 68.174, penurunan lebih lanjut ke 66.938 atau 65.508 boleh berlaku.
Tindakan harga emas menekankan zon reaktif berhampiran paras 2680, di mana ia berdagang lebih rendah sebelumnya. Sebarang pergerakan menaik semula ke paras ini boleh mencetuskan tindakan harga bearish sekali lagi, memberikan kawasan rintangan untuk meraih keuntungan daripada pembalikan. Tingkah laku emas dalam julat ini akan bergantung kepada faktor-faktor luaran, seperti perubahan dalam kekuatan USD atau sentimen makroekonomi.
Harga gas asli telah menunjukkan pengukuhan dengan baru-baru ini ia berdagang lebih tinggi sebelum menguji semula kawasan membeli yang dipantau di 2.70. Pandangan bullish muncul apabila harga bergerak ke arah 3.13. Konsolidasi pada paras ini boleh menjurus ke pemecahan ke arah 3.447, mencadangkan potensi menaik yang ketara jika paras sokongan kekal.
EUR/USD mempunyai kawasan sokongan utama berhampiran 1.0630, di mana konsolidasi boleh mengisyaratkan pergerakan ke atas. Jika pergerakan menaik seperti ini berlaku, pedagang akan memerhatikan corak bearish berhampiran 1.0710. GBP/USD juga mungkin memberikan setup bearish pada 1.2820 atau 1.2865 apabila ia mendaki, menjadikan paras ini penting untuk membuka posisi.
Dengan S&P 500 bergerak lebih tinggi, lebih banyak perhatian akan diberi ke paras 6130 sebagai kawasan berpotensi untuk corak pembalikan atau lanjutan. Bitcoin menunjukkan pendekatan dual-path yang serupa, dengan setup bullish yang mungkin berada berhampiran 93800 pada penurunan dan rintangan pada 102150 pada lonjakan.
Apa Yang Dijangkakan Minggu Ini
Pada hari Isnin, ISM Manufacturing PMI untuk US akan dikeluarkan. Diramalkan pada 47.7, ia adalah peningkatan sederhana daripada 46.5 sebelumnya. Data ini akan menjadi penting untuk menilai kesihatan sektor pembuatan.
Fokus hari Selasa beralih ke laporan JOLTS Job Openings, yang dijangka menunjukkan peningkatan sederhana kepada 7.49 juta daripada 7.44 juta. Data ini akan menjadi penting dalam menilai permintaan buruh di sebalik perbincangan mengenai polisi Fed.
Pada hari Rabu, angka-angka GDP Australia diramalkan naik 0.5% suku-ke-suku daripada 0.2% sebelumnya. Ini boleh mempengaruhi trajektori dollar Australia terhadap USD, terutamanya apabila pedagang menilai penyelarasan dengan pendirian polisi Reserve Bank of Australia.
ISM Services PMI US juga akan dikeluarkan dengan jangkaan penurunan sederhana ke 55.5 daripada 56.0. Bacaan yang kuat mungkin menguatkan sentimen USD dan memberi tekanan ke atas komoditi seperti emas dan minyak.
Fokus minggu ini akan tertumpu kepada laporan Non-Farm Employment Change US pada hari Jumaat. Ramalan menunjukkan pemulihan yang dijangka ke 202,000 pekerjaan daripada 12,000 pada Oktober lalu. Selain itu, peningkatan purata pendapatan sejam diramalkan pada 0.3%, turun daripada 0.4%, manakala pengangguran diramalkan naik sedikit ke 4.2% daripada 4.1%.
Jika statistik sebenar selari dengan ramalan ini, semua data ini akan mungkin membentuk naratif pasaran mengenai mesyuarat Federal Reserve pada 18 Disember.