Back to Feed
总结
CNBC在委内瑞拉相关冲突与政策不确定性升温、市场对地缘政治风险再定价的背景下,提出投资者可采取的4项资金安排建议。文章强调先梳理个人或组合对拉美资产、美元与风险资产的敞口与承受度,适度分散资产与币种并保留现金流动性,必要时通过止损、对冲或降低仓位控制波动冲击,同时避免在信息碎片化与情绪主导的阶段追涨杀跌,关注后续外交与政策进展对市场的持续影响。
正文
4 money moves to make in response to the events in Venezuela CNBC Markets in Trump's New World Order Rally Even After Attacks Bloomberg.com Geopolitics take center stage in the new year Reuters What Does Venezuela Mean for Stocks? Look at Panama. Barron's The pitfalls of sell-side research in the Trump era: Venezuela edition Financial Times
发布时间: