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Goldman Sachs: 10 Reasons Why Stock Risks Rise In The Second Half Of 2024

Goldman Sachs: 10 Reasons Why Stock Risks Rise In The Second Half Of 2024

高盛:股票風險上升的10個原因(2024年下半年)
Benzinga ·  03:56
The U.S. stock market enjoyed an impressive performance throughout the first half of the year — the 21st best since 1900.
自1900年以來,美國股市在上半年創下了第21個最佳表現。
As we move into the second half of 2024, equity investors face greater risks, according to a Goldman Sachs note issued Tuesday.
據高盛週二發佈的一份報告稱,進入2024年下半年,股票投資者面臨着更大的風險。
Below are 10 reasons why equity analyst Peter Oppenheimer feels that global stocks are navigating an unusual environment characterized by high valuations and increased political tension. This could diminish the fear of missing out (FOMO) after a significant rally.
以下是股票分析師彼得·奧本海默認爲全球股市正在應對高估值和政治緊張局勢等風險的十個原因。這可能會減少在大規模上漲後的錯失良機(FOMO)的恐懼。
Chart: Nasdaq 100, S&P 500 Have Rallied 87% And 45%, Respectively Since Late 2022
圖表:自2022年末以來,納斯達克100指數和標普500指數分別上漲了87%和45%。
Resilience Without Pullbacks: "We haven't seen a 5% pullback in global...
奧本海默說:“自去年下...

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