全球宏观格局正在发生变化。强劲的经济数据、持续的地缘政治紧张局势以及重新调整的货币政策预期共同导致了今日市场普遍下跌,反映出投资者风险偏好的转变。波动性飙升,VIX 指数显著跳涨 33.94% 至 21.51 点,预示着投资者对各类资产的担忧加剧。
波动性飙升,VIX 跳涨 33.94%;标普 500 指数在宏观逆风下下跌 2.64%
全球宏观格局正在发生变化。强劲的经济数据、持续的地缘政治紧张局势以及重新调整的货币政策预期共同导致了今日市场普遍下跌,反映出投资者风险偏好的转变。波动性飙升,VIX 指数显著跳涨 33.94% 至 21.51 点,预示着投资者对各类资产的担忧加剧。
常见问题
What is the VIX index and why did it jump?
The VIX, or CBOE Volatility Index, measures the market's expectation of future volatility. It jumped 33.94% due to strong US jobs data, rising interest rate expectations, and geopolitical tensions, signaling increased investor apprehension.
How did the S&P 500 and Nasdaq perform amid these market headwinds?
The S&P 500 Index fell 2.64%, while the Nasdaq 100 Index experienced a sharper decline of 4.77%. Both indices reflected the broader market downturn driven by macroeconomic factors and increased investor risk aversion.