中东地区紧张局势急剧升温,导致金融市场出现显有调整。 On June 13, the entire territory of Israel was activated, and the Iranian palace was released, and the same Israeli defense was announced. Affected by this news, Israel's dollar rate fell sharply by 2.7%.
As geopolitical risks rapidly rise, investors' awareness of risk aversion increases, and the cryptocurrency market suffers significant impact, with the prices of digital assets such as Bitcoin significantly declining in the short term. The overall cryptocurrency market shows a trend of widespread decline, with the liquidation scale reaching approximately $789 million in the last 24 hours, among which long positions suffered considerable losses.
Given that the war risk in the Middle East region has not yet been alleviated, funds may continue to shift towards safe-haven assets and mainstream weighted targets in the short term. In the current environment of high uncertainty, investors should pay extra attention to position management and risk control to avoid excessive exposure to high-volatility assets.
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中东地区紧张局势急剧升温,导致金融市场出现显有调整。 On June 13, the entire territory of Israel was activated, and the Iranian palace was released, and the same Israeli defense was announced. Affected by this news, Israel's dollar rate fell sharply by 2.7%.
As geopolitical risks rapidly rise, investors' awareness of risk aversion increases, and the cryptocurrency market suffers significant impact, with the prices of digital assets such as Bitcoin significantly declining in the short term. The overall cryptocurrency market shows a trend of widespread decline, with the liquidation scale reaching approximately $789 million in the last 24 hours, among which long positions suffered considerable losses.
传统金融领域表现则有所不同,美国股市和债Securities 市场双双上扬,特别是在生产者价格指数(PPI)数据公布后,美国债券yield出现後退,黄金价格重新站上3400美元关口上方,展现出其作为避险资产的特质。
Given that the war risk in the Middle East region has not yet been alleviated, funds may continue to shift towards safe-haven assets and mainstream weighted targets in the short term. In the current environment of high uncertainty, investors should pay extra attention to position management and risk control to avoid excessive exposure to high-volatility assets.