EPISODE · Apr 2, 2026 · 7 MIN
滞涨,全球市场的双重考验(20260330)
from 每天五分钟,基金定投聊通透
在本期节目中,我们探讨了中东地区的冲突如何对全球市场产生深远影响。虽然短期内市场情绪受到外部扰动的影响,但国内经济的复苏依旧是关键。我们分析了流动性短缺可能带来的风险,以及投资者在这样的环境中应如何调整策略。特别关注中东局势的发展和各国政府的应对政策,如何影响未来的市场走向。同时,投资者需警惕权益类资产的波动以及避险资产的表现,确保能够在不确定性中找到机会。00:02:03:中东局势风云变幻,市场不确定性加大,权益类资产或持续下跌!00:04:07:流动性短缺引发的市场负向螺旋:资产价格持续下跌的风险与挑战00:06:08:全球市场展望:通胀冲击下各国政府是否会出台更多政策对冲?
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