EPISODE · May 24, 2026 · 8 MIN
美股与美债矛盾下的市场风险
from 深度
美股与美债的裂口正在逼近临界点。BCA Research首席策略师警告,标普500涨跌线与指数走势已现背离,仅55%成分股站上200日均线,科技板块独撑门面的局面难以持续。债券收益率持续攀升、通胀高烧不退、美联储政策两难,三重压力之下,一场股市实质性回调或已箭在弦上,新兴市场首当其冲。
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美股与美债矛盾下的市场风险
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