UBS战略家预测,在全球不确定因素中市场波动不大,将非农业工资单报告和无就业索赔作为关键指标。 UBS strategist predicts slight market volatility amid global uncertainties, citing nonfarm payrolls reports and jobless claims as key indicators.
UBS战略家Gerry Fowler(Gerry Fowler)将近期市场波动称为“过度反应”, UBS strategist Gerry Fowler calls recent market volatility a "huge overreaction" due to global economy uncertainties. 福勒(Fowler)预计,尽管市场暴涨,但波动和市场交易在幅度内而不是在强劲的市场内略有增加。 Despite the spike, Fowler anticipates a slight increase in volatility and markets trading within a range rather than strong markets. 需要观察的关键指标包括非农场工资单报告和每周初次失业索赔,这可能表明如果经济放缓升级为衰退。 Key indicators to watch include nonfarm payrolls reports and weekly initial jobless claims, which may signal if the economic slowdown escalates into a recession.