亚洲市场对中东战争作出反应——三级警报

2026年3月6日07:00 亚洲股市大幅下挫,投资者担忧中东战争可能引发能源危机。

对油价上涨和通胀加剧的担忧促使众多投资者抛售股票,科技股和芯片制造类股尤为受挫。韩国KOSPI指数暴跌逾11%,日本和台湾股市跌幅均超过4%。分析师指出,市场目前认为冲突可能持续时间超出预期,这加剧了不确定性和风险。投资者担忧能源成本上升可能推迟降息进程并削弱经济增长。 专家指出,当前市场并非恐慌抛售,而是正逐步转向现金、黄金等更安全的资产。部分投资者因局势愈发难以预测而降低投资组合风险。总体而言,市场正在适应长期冲突可能带来的持久经济影响,尤其体现在能源价格和通胀压力方面。

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