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最近市场分化明显。加密资产这边持续承压,整体呈现弱势下行态势。反观贵金属市场,涨势却在逐步强化。两个资产类别走向截然相反,背后可能反映出市场对风险资产的谨慎态度,以及对避险资产的偏好转变。这种分化行情下,投资者的资产配置思路也在随之调整。
讽刺的是,贵金属涨的时候没人说它是泡沫,币跌的时候各种"理性分析"就来了
客观来看,这就是典型的泡沫周期在重演。不是说市场非理性,是说大家都在赌别人更非理性罢了
来来来,我们打个赌,半年后再看这波分化是"深刻调整"还是"反向诱空"
有个问题啊,避险资产强化真的因为风险厌恶,还是就是流动性在挪地方而已?