中国ハンセンのIVから読み解く── 市場の静かな異変、アメリカの戦略、インドの台頭|2025/4/30 相場雑感 episode artwork

EPISODE · Apr 29, 2025 · 12 MIN

中国ハンセンのIVから読み解く── 市場の静かな異変、アメリカの戦略、インドの台頭|2025/4/30 相場雑感

from 日経225オプション裸買投資戦記 – Nikkei 225 Naked Option Warfare · host Option Trader – Yaho

2025年4月30日、世界がアメリカと日本の指標に夢中になる中、誰も見ようとしない“中国マーケット”に着目。中国VIの開示はなぜ停止されたのか。誰にも見られない無関心さにより露骨な数字を表すハンセン指数。強気な中国の内情と米国関税政策の真の狙いは何のか。米国債券不安はアメリカが狙った“経済のワナ”「無関心」は世界市場に何をもたらすか。メルマガ登録はこちらから:(⁠⁠⁠⁠https://subscribepage.io/ni225op⁠⁠) ___April 30, 2025 — While the world is focused on U.S. and Japanese economic indicators, this episode turns to a market few are watching: China.Why did China stop publishing its volatility index (VI)?Why does the Hang Seng Index, no longer in the spotlight, now reflect unusually raw and unfiltered market signals?We explore the possibility that China’s apparent strength is just a bluff, and ask what the true intention behind U.S. tariff policy might be.Is the recent instability in the U.S. bond market part of a deliberate economic trap aimed at China?What happens to global markets when indifference becomes the dominant emotion?

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中国ハンセンのIVから読み解く── 市場の静かな異変、アメリカの戦略、インドの台頭|2025/4/30 相場雑感

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