#RiskAssetsMarketShock ⚠️
#RiskAssetsMarketShock - 爲什麼有風險的資產正在遭受損失?
當前,包括加密貨幣在內的全球股票正面臨明顯的壓力。主要因素包括 -
宏觀壓力:美國就業數據的疲軟和利率的不確定性導致投資者轉向現金和黃金。
地緣政治風險:美國與伊朗的緊張局勢增加了市場的焦慮情緒。
恐懼與貪婪指數:目前處於極端恐懼(非常害怕)水平,降至6。
在這種情況下,資本保護(避免虧損)比獲利更爲重要。請務必記得使用止損! 🛡️
[English]
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#RiskAssetsMarketShock – Why are markets bleeding?
Global risk assets, including Crypto and Equities, are under heavy pressure as investors shift to "risk-off" mode. Key factors include:
Macro Uncertainty: Weaker US job data and Fed policy shifts are driving capital toward Gold and cash.
Geopolitical Tensions: The US-Iran standoff is fueling market anxiety.
$ETH $BTC $
#RiskAssetsMarketShock #CryptoFear