全球市场在2025年10月17日崩盘, 银行贷款问题引发了对美国信用质量的恐惧, 引发了出售和波动。
Global markets tumbled on Oct. 17, 2025, after bank loan issues sparked fears over U.S. credit quality, triggering sell-offs and rising volatility.
全球市场在2025年10月17日下跌, 在两家地区银行出现贷款问题后, 担心美国信用质量, 引发银行股票出售,
Global markets fell on October 17, 2025, amid fears over US credit quality following loan issues at two regional banks, triggering a sell-off in banking stocks and boosting volatility.
《FTSE 100》下降了1.5%,因为Barclays下跌了6%,而技术基金和石油储量则下跌了。
The FTSE 100 dropped 1.5% as Barclays plunged 6%, while tech funds and oil stocks declined.
维克斯公司自4月以来达到最高水平,黄金创下4 370美元以上的记录。
The Vix rose to its highest since April, and gold hit a record above $4,370.
尽管英国银行稳定,投资者焦虑在全球蔓延,Nikkei和Hang Seng下跌。
Despite UK bank stability, investor anxiety spread globally, with the Nikkei and Hang Seng falling.
相比之下,Burberry公司在LVMH的强劲成果和经纪人升级方面有所上升,而Pearson公司和Smiths集团则从正收入和销售中得益。
In contrast, Burberry rose on strong LVMH results and broker upgrades, while Pearson and Smiths Group gained on positive earnings and a sale.