全球银和黄金市场于2026年1月30日崩溃,引发极端波动和巨大损失。
Global silver and gold markets crashed on January 30, 2026, triggering extreme volatility and massive losses.
2026年1月30日,全球商品市场暴跌, 银子下跌超过30%, 黄金下跌15%,
On January 30, 2026, global commodity markets plunged as silver dropped over 30% and gold fell 15%, hitting circuit limits amid extreme volatility.
Zerodha的Nithin Kamath警告说,这种稀有事件可能打破标准的风险控制,使中转损失无济于事,而差价则不可能,有可能使贸易商资本消失。
Zerodha’s Nithin Kamath warned that such rare events can break standard risk controls, rendering stop-losses useless and margin calls impossible, potentially wiping out trader capital.
他列举了2008年崩溃和2020年石油价格暴跌的类似事件,强调这种杠杆作用可以扩大损失,使多年的收益白白白浪费在一天之内。
He cited parallels to the 2008 crash and 2020 oil price collapse, stressing that leverage can amplify losses, erasing years of gains in a day.
此次买卖是在此前一次银色集会之后进行的,其驱动力是盈利、需求疲软和美元坚挺。
The sell-off followed a prior silver rally and was driven by profit-taking, weak demand, and a stronger dollar.
Kamath敦促投资者只能冒风险输钱。
Kamath urged investors to only risk money they can afford to lose.