因市场对美国地区性银行信贷健康状况存疑,交易员纷纷削减风险头寸,股市持续下跌,为本周的波动行情画上句号。本周市场的剧烈震荡暴露了接近历史高点的市场所具备的脆弱性。投资者急于避险,债券和避险货币因此成为主要受益者。 标准普尔 500 指数(S&P 500)迎来连续第二个交易日下跌,期货合约跌幅达 1.4%。此前,两家地区性银行表示,它们在与陷入困境的房地产基金相关的贷款业务中遭遇疑似欺诈。欧洲和亚洲 ...
The 2025 World Internet Conference Wuzhen Summit is expected to create an open platform for international exchanges and cooperation in digital technologies, while helping the global community to seize ...
本周,市场对美国地区性银行信贷状况的担忧加剧,导致交易员纷纷削减风险敞口,股市持续下跌。这一趋势在欧洲市场也得到了延续,欧洲银行股指数下跌2.7%。投资者避险情绪升温,债券和避险货币成为主要受益者。美国国债继续上涨,10年期国债收益率再降3个基点,至3.95%。
"Despite a complex and fast-changing external environment during the 14th Five-Year Plan period, China's economy has maintained stable growth, serving as a key source of momentum for the uncertain ...