The first 100 days of Donald Trump's administration have been marked by considerable volatility across financial markets, including stocks and bonds. This period has prompted some investors to reduce their exposure to American assets amid uncertainty about the long-term impact of the administration's policies. Market observers have noted a rollercoaster ride in asset performance, with bond markets also experiencing notable stress. While there has been a shift away from U.S. investments, it remains unclear whether these developments will cause lasting damage to the U.S. economic system or financial markets.
在特朗普重返美国总统宝座的头100天里,金融市场动荡不安,各类资产的投资者备受冲击,债券市场也一度拉响警报。本文梳理了特朗普上台头100天美国金融市场主要资产的表现。https://t.co/Ur9FP7OV3T
Timeline: How Trump’s first 100 days shook financial markets https://t.co/A8Q6uSBGa9
Timeline: How Trump’s first 100 days shook stocks, bonds and other financial markets https://t.co/B1jUYgs4dN