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市場觀測站EP69│聯準會喊水結凍市場震盪 黃金反成風險商品!? feat.渣打銀行財富管理投資策略部主管劉家豪 episode artwork

EPISODE · May 11, 2024 · 27 MIN

市場觀測站EP69│聯準會喊水結凍市場震盪 黃金反成風險商品!? feat.渣打銀行財富管理投資策略部主管劉家豪

from 工商時報Podcast · host 工商時報

風險是金融市場的本質。4月以來全球股、債大幅修正,美國利率降息期待出現轉彎,黃金價格飆上2400美元/盎司,非美貨幣全趴,都肇因於美國聯準會Fed的「公開說說話」?實情上,美國經濟「一切都剛剛好」,投資人已無短進短出的空間,回歸到資產配置的思考,將是避開風險的基本守則。 🎙主持人:工商時報編輯部副主任 #陳碧芬 🎙來賓:渣打銀行財富管理投資策略部主管 #劉家豪 🖊本集重點: 1. 4月市場震盪如何解讀 2. 風險分散、資產配置如何做 3. Q2美債如何觀察 4. 黃金當避險資產適合嗎? 5. 聯準會「動口不動手」也行? ☆點擊查看更多收聽平台 ☆點擊瀏覽相關閱讀 【📧歡迎來信】 想敲碗下集Podcast主題?或與我們分享您的想法 歡迎來信:[email protected] ---- 讓您掌握先機,投資無往不利 ✔瀏覽工商時報官網 :https://ctee.com.tw/ ✔訂閱工商時報YT:https://pse.is/4uhbph ✔追蹤工商時報FB:https://www.facebook.com/ctee.fans/ ✔加入工商時報LINE:https://line.me/ti/p/@ccf6523h -- Hosting provided by SoundOn

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市場觀測站EP69│聯準會喊水結凍市場震盪 黃金反成風險商品!? feat.渣打銀行財富管理投資策略部主管劉家豪

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