01/12/2025, 10:00 AM UTC
2025年市场压力与美联储货币政策调整Alpha Picks Weekly Market Recap
1. 2025年市场因美联储货币政策调整而承受压力;2. 标普500、纳斯达克和道琼斯指数在周五均下跌;3. 全球债券抛售推动10年期美国国债收益率升至4.74%;4. 尽管加密货币趋势仍然受到关注,但比特币的抛售继续;5. 关税威胁加剧了全球紧张局势。1. The 2025 markets are experiencing pressure due to the Fed's monetary policy shift; 2. The S&P 500, Nasdaq, and Dow all fell on Friday; 3. The global bond selloff pushed the 10-year U.S. Treasury yield to 4.74%; 4. Bitcoin's selloff continued despite crypto trends remaining in focus; 5. Tariff threats are intensifying global tensions.---
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