掃碼下載
BTC $75,735.89 -2.03%
ETH $2,358.88 -2.73%
BNB $633.72 -0.95%
XRP $1.43 -3.17%
SOL $86.61 -2.86%
TRX $0.3300 +1.01%
DOGE $0.0953 -5.10%
ADA $0.2490 -4.72%
BCH $446.07 -1.81%
LINK $9.35 -3.17%
HYPE $44.19 +0.04%
AAVE $111.76 -4.64%
SUI $0.9606 -5.24%
XLM $0.1690 -2.09%
ZEC $324.36 -2.22%
BTC $75,735.89 -2.03%
ETH $2,358.88 -2.73%
BNB $633.72 -0.95%
XRP $1.43 -3.17%
SOL $86.61 -2.86%
TRX $0.3300 +1.01%
DOGE $0.0953 -5.10%
ADA $0.2490 -4.72%
BCH $446.07 -1.81%
LINK $9.35 -3.17%
HYPE $44.19 +0.04%
AAVE $111.76 -4.64%
SUI $0.9606 -5.24%
XLM $0.1690 -2.09%
ZEC $324.36 -2.22%

QCP Capital:此輪拋售源於選舉後市場過度樂觀情緒積累

2024-12-20 13:34:08
收藏

ChainCatcher 消息,QCP Capital 最新分析指出,美聯儲鷹派 FOMC 會議引發風險資產全面拋售,納斯達克暴跌 3.56%,標普 500 下跌 2.95%,比特幣跌幅達 6.13%。雖然市場預期美聯儲將降息 25 個基點,但點陣圖下調引發恐慌,由於通脹持續,美聯儲預計 2025 年僅降息兩次,低於市場普遍預期的三次。

QCP Capital 認為,雖然容易將此輪拋售歸咎於美聯儲的鷹派表態,但實際上市場崩盤的根本原因在於此前過度樂觀的市場情緒。自美國大選以來,風險資產經歷了一輪單邊上漲行情,這使得市場對任何負面消息都極為敏感。

app_icon
ChainCatcher 與創新者共建Web3世界