避险情绪升温,投资者重现2022年「弃股债、囤现金」操作

BlockBeatNews

BlockBeats 消息,3 月 26 日,为规避伊朗战争带来的风险,投资者正抛售股票和债券,重新增持现金,这与 2022 年俄罗斯入侵乌克兰后的策略如出一辙。美国银行本月对基金经理的最新调查显示,基金经理的现金持有量出现了六年来最大幅度的跃升。与此同时,摩根大通策略师本周表示,为应对冲突而进行的仓位调整可能还远未结束。

由尼古拉斯·潘尼吉佐格鲁领导的摩根大通团队在一份报告中表示,只要地缘政治和宏观不确定性持续高企,当前仍低于历史水平的现金配置,就会对未来的股市和债市构成不利影响。投资者一直在同时抛售股票、债券和黄金,更倾向于增持现金。不过与俄乌冲突爆发时相比,投资组合中的现金水平仍处于温和水平。(金十)

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