中东边缘冲突持续,全球股市受重挫,美股三大股指期货跌幅局部收窄,金价突破5400美元后回落

TradingKey中文
Mar 02

TradingKey - 全球股市(除中国上证指数外)周一大幅下挫,国际油价创四年来最大单日涨幅,避险资产全面走强,中东局势急剧升温正在将新一轮不确定性注入全球金融市场。

布伦特原油期货开盘飙升近12%,后收窄至每桶78.37美元,涨幅约7.55%,创2022年3月以来最大单日涨幅。黄金上涨超2%,盘中一度突破5400美元,白银跟涨1.6%,美元同步走强0.6%。美股三大股指期货同步下跌,后局部收窄。

受避险情绪影响,市场无差别抛售全球国债,美国短期国债、长期国债价格不同程度上涨,亚洲交易时段多数亚洲国家国债同步上涨。

市场恐慌指数VIX指数飙升至25.24点,创自去年11月以来最高水平。

此次地缘政治冲击,与人工智能产业前景的不确定性、以及私人信贷市场潜在裂痕等既存风险形成叠加效应,正对全球资产定价逻辑构成压力。受此影响,美股上月创下自4月以来的最大单月跌幅。

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