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瑞银:明年上半年可能会直接进入美股波动性相对较高的环境

UBS Group: There may be a relatively high volatility environment in the US stock market in the first half of next year.

Breakings ·  14:21

UBS Group strategists point out that the offsetting policies between Trump's tariffs and tax cuts may lead to more volatility, and there may be a direct entry into a relatively high volatility environment in the stock market in the first half of next year. Potential tariff escalations will make the Federal Reserve more moderate, with more certain policies, thereby reducing the volatility of Bonds. The company suggests buying June's S&P 500 straddle Options to finance by selling straddle Options on iShares 20 Year Plus Treasury Bond Exchange.

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