全球股票市场由于全球不确定性和恐惧而暴跌,影响美国就业报告和消费物价指数数据。 Global stock markets plunge due to global uncertainty and fear, affecting US jobs report and consumer price index data.
全球股票市场由于全球不确定性和恐惧而暴跌,导致美国就业报告放缓,消费物价指数数据相互矛盾。 Global stock markets have plunged due to global uncertainty and fear, causing a slowdown in the US jobs report and conflicting consumer price index data. 金融专家Don Miller建议不要进行诸如401(k)s等恐慌性投资,因为市场将长期恢复。 Financial expert Don Miller advises against panic-selling investments, such as 401(k)s, as markets will recover in the long run. 相反,他建议把目前的情况看作是在较低买入点投资于退休计划的机会。 Instead, he recommends viewing the current situation as an opportunity to invest in retirement plans at lower buy-in points. 尽管市场波动,投资者应保持长期的财务计划,保持多元化,避免恐慌性出售,以避免在市场复苏期间失去潜在的未来收益. Despite market volatility, investors should maintain a long-term financial plan, stay diversified, and avoid panic-selling to avoid losing out on potential future gains during market recoveries.