论文部分内容阅读
衡量美国和全球金融市场投资者情绪的指标“恐慌指数”——CBOE波动性指数(VIX),10月15日暴涨15.18%,收于26.25%,达到2012年以来的新高,显示市场陷入了极度惊慌。市场大跌的根源是经济基本面不佳,而对未来全球经济及治理能力的不信任和迷茫,则成了导火索。
Indicator of investor sentiment in US and global financial markets “Panic Index ” - CBOE Volatility Index (VIX), which surged 15.18% to close at 26.25% on Oct. 15, reaching a new high since 2012, indicating the market has plunged Extremely panic. The root cause of the slump in the market is the poor economic fundamentals, and the lack of trust and confusion in the future global economic and governance capabilities has become a trigger.