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总结

多家财经媒体报道,受美联储政策路径不确定、市场对鲍威尔相关表态与通胀前景的担忧影响,全球风险资产情绪转弱,欧洲股市在周初预计以偏谨慎的姿态开盘并多数走低,美股期指亦承压。同时,围绕中东紧张局势及伊朗国内不稳等地缘风险的关注升温,进一步推高避险偏好。由于当日经济数据安排相对清淡,投资者把焦点转向本周后续宏观事件与央行信号,市场波动或维持高位。

正文

European markets set to start the week on a somber note CNBC Dow Set to Open Down as Markets Tumble Amid Fed Fears Barron's European stocks mostly slip lower; Iranian unrest, Powell's woes in focus Investing.com Europe opens mostly lower amid global tensions breakingthenews.net Economic calendar: A quiet start to an interesting week XTB.com
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