异动解读|Strategy盘中下跌3.94%,美联储加息预期逼近九成叠加连续两周暂停增持比特币

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9月15日,Strategy盘中下跌3.94%,报131.59美元/股,成交额1.19亿美元。消息面上,多重利空因素叠加施压。

宏观层面,美联储9月15日至16日利率决议在即,市场加息概率逼近90%,美股三大股指全线下挫,比特币围绕80000美元窄幅震荡,多空博弈加剧。公司层面,Strategy披露9月8日至13日期间未买卖比特币,美元储备减少1.4亿美元至64亿美元,连续两周暂停增持引发市场对其比特币囤积策略节奏放缓的担忧。此外,期权市场同日出现一笔规模达1173万美元的双卖Call组合,机构以收取权利金为主,显示对后市上行空间持谨慎态度,偏空情绪明显升温。

(以上内容均基于市场公开消息,由程序或算法智能生成,仅作为股价异动提醒,不作为投资建议或交易依据。)

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