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ウォール街のストラテジスト:市場崩壊の確率が35%に引き上げられ、連邦準備制度はインフレと失業率上昇の二重リスクに直面する可能性がある

2026-03-09 09:42:48
コレクション

据金十报道,华尔街资深策略师 Ed Yardeni 表示,随着伊朗战争不断升级打击全球市场,美国股市面临大幅抛售的风险越来越大。他已将市场崩盘的概率从 20% 上调至 35%,同时将市场狂欢的可能性从 20% 大幅下调至仅 5%。

Yardeni 指出,美国经济和股市正陷入伊朗的困境,若石油冲击持续,美联储将面临通胀和失业率上升的双重风险。

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