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ETH $1,878.76 +0.20%
BNB $606.69 -0.48%
XRP $1.00 +0.08%
SOL $75.39 +0.53%
TRX $0.3309 -0.32%
DOGE $0.0698 -0.07%
ADA $0.1774 -0.66%
BCH $204.00 -0.52%
LINK $9.43 +1.67%
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AAVE $85.96 -0.81%
SUI $0.6771 -0.52%
XLM $0.1570 -0.59%
ZEC $487.27 -0.15%
BTC $62,998.88 +0.20%
ETH $1,878.76 +0.20%
BNB $606.69 -0.48%
XRP $1.00 +0.08%
SOL $75.39 +0.53%
TRX $0.3309 -0.32%
DOGE $0.0698 -0.07%
ADA $0.1774 -0.66%
BCH $204.00 -0.52%
LINK $9.43 +1.67%
HYPE $57.52 +2.74%
AAVE $85.96 -0.81%
SUI $0.6771 -0.52%
XLM $0.1570 -0.59%
ZEC $487.27 -0.15%

華爾街策略師:市場崩盤概率上調至 35%,美聯儲或將面臨通脹和失業率上升的雙重風險

2026-03-09 09:42:48

ChainCatcher 消息,据金十報導,華爾街資深策略師 Ed Yardeni 表示,隨著伊朗戰爭不斷升級打擊全球市場,美國股市面臨大幅拋售的風險越來越大。他已將市場崩盤的概率從 20% 上調至 35%,同時將市場狂歡的可能性從 20% 大幅下調至僅 5%。

Yardeni 指出,美國經濟和股市正陷入伊朗的困境,若石油衝擊持續,美聯儲將面臨通脹和失業率上升的雙重風險。

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