BTC $64,677.75 +3.17%
ETH $1,879.62 +4.75%
BNB $578.01 +1.35%
XRP $1.11 +3.64%
SOL $77.39 +2.76%
TRX $0.3279 +0.94%
DOGE $0.0737 +2.20%
ADA $0.1646 +3.95%
BCH $234.57 -0.90%
LINK $8.35 +4.97%
HYPE $68.22 +7.00%
AAVE $98.33 +2.25%
SUI $0.7520 +2.86%
XLM $0.1855 +3.28%
ZEC $572.07 +12.46%
BTC $64,677.75 +3.17%
ETH $1,879.62 +4.75%
BNB $578.01 +1.35%
XRP $1.11 +3.64%
SOL $77.39 +2.76%
TRX $0.3279 +0.94%
DOGE $0.0737 +2.20%
ADA $0.1646 +3.95%
BCH $234.57 -0.90%
LINK $8.35 +4.97%
HYPE $68.22 +7.00%
AAVE $98.33 +2.25%
SUI $0.7520 +2.86%
XLM $0.1855 +3.28%
ZEC $572.07 +12.46%

魯比尼:通膨仍是市場最大風險,美債收益率或升至 30 年高位

2026-07-15 18:07:48
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ChainCatcher 消息,据金十報導,著名經濟學家魯比尼警告稱,通脹仍是市場面臨的最大風險,推動通脹上升的因素包括地緣政治緊張、去全球化及政府支出增加。他表示,如果美國消費者價格指數(CPI)達到 5% - 6%,10 年期美國國債收益率可能"接近" 8%,這將是自 1994 年以來的最高水平,較當前約 4.58% 的水平大幅上升。

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