BTC $63,695.95 +1.79%
ETH $1,864.73 +1.37%
BNB $589.51 +0.60%
XRP $1.07 +0.63%
SOL $73.54 +1.51%
TRX $0.3288 +0.34%
DOGE $0.0703 +1.35%
ADA $0.1945 +4.54%
BCH $213.69 +1.73%
LINK $8.19 -0.07%
HYPE $55.28 +4.88%
AAVE $91.96 -0.08%
SUI $0.6917 +1.08%
XLM $0.1705 -0.41%
ZEC $488.32 +2.11%
BTC $63,695.95 +1.79%
ETH $1,864.73 +1.37%
BNB $589.51 +0.60%
XRP $1.07 +0.63%
SOL $73.54 +1.51%
TRX $0.3288 +0.34%
DOGE $0.0703 +1.35%
ADA $0.1945 +4.54%
BCH $213.69 +1.73%
LINK $8.19 -0.07%
HYPE $55.28 +4.88%
AAVE $91.96 -0.08%
SUI $0.6917 +1.08%
XLM $0.1705 -0.41%
ZEC $488.32 +2.11%

花旗:歐洲市場風險偏好回升,受益於資金流入和企業盈利

2026-08-04 16:21:40

ChainCatcher 消息,据金十報導,花旗集團策略師 David Chew 表示,歐洲股市是近期唯一一個風險偏好出現明顯改善的主要市場區域,得益於新的資金流入和好於預期的企業盈利表現。

報告指出,上週歐洲所有主要股指的投資倉位情緒均有所改善,而美國市場的相關指標顯示投資者信心減弱。Chew 還提到,歐洲市場受益於歐洲央行維持利率不變的政策選擇。

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