新一轮波动风险酝酿中?“恐慌指数”跌至年内低位,科技股高位震荡

第一财经
Aug 16

本周美股各大指数表现分化,标普500迎来7800点里程碑的同时道指结束周线两连阳。美国通胀数据叠加零售销售下滑,提升了美联储9月暂停加息的概率;与此同时,特朗普政府对中东局势释放的信号,成为打压风险偏好的理由。   未来一周,随着财报季临近尾声,地缘政治因素和美联储货币政策预期或重新主导市场,而衡量市场波动性的芝商所“恐慌指数”VIX跌至年内低位,可能酝酿着新一轮波动的风险。   美联储加息预期...

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