全球宏观格局正在发生变化。全球市场反映出明显的避险情绪,VIX波动率指数惊人地飙升33.94%至21.51点。此次飙升恰逢标普500指数经历自2025年4月以来最大的单日跌幅,下跌2.64%至7,383.74点,并结束了连续九周的上涨势头。
波动性飙升33.94%,标普500指数创2025年4月以来最大跌幅(-2.64%)
全球宏观格局正在发生变化。全球市场反映出明显的避险情绪,VIX波动率指数惊人地飙升33.94%至21.51点。此次飙升恰逢标普500指数经历自2025年4月以来最大的单日跌幅,下跌2.64%至7,383.74点,并结束了连续九周的上涨势头。
常见问题
Why did the S&P 500 drop so sharply?
The S&P 500 experienced its sharpest drop since April 2025 due to a combination of a stronger-than-expected jobs report, fueling concerns about future monetary policy, and escalating geopolitical tensions, particularly around the Iran War and maritime security.
What is the VIX and why did it surge?
The VIX, or CBOE Volatility Index, measures expected market volatility. It surged 33.94% to 21.51 points, indicating a significant increase in investor fear and uncertainty driven by the negative market sentiment from the jobs report and geopolitical events.