以色列和美国于2026年2月袭击了伊朗,引发了全球市场动荡和对更广泛战争的恐惧。
Israel and the U.S. struck Iran in February 2026, sparking global market turmoil and fears of wider war.
2026年2月,以色列和美国对伊朗发动袭击后,地缘政治紧张局势升级,引发对更广泛冲突的恐惧,并引发全球市场动荡。
Geopolitical tensions escalated in February 2026 after Israel and the U.S. launched strikes on Iran, prompting fears of broader conflict and triggering global market volatility.
印度市场预计开盘走低,Nifty 50显示出看跌技术信号,收盘跌破200日均线,并连续记录四根红烛。
Indian markets are expected to open lower, with the Nifty 50 showing bearish technical signs, having closed below its 200-day EMA and recording four consecutive red candles.
分析员预计会发生侧向负向交易,但受上星期五损失的限制,关键支持接近25 000-25 050,抵抗力为25 300-25 350。
Analysts anticipate sideways-to-negative trading, limited by prior Friday losses, with key support near 25,000–25,050 and resistance at 25,300–25,350.
像黄金那样的安全港资产可能获得需求,而国防储备则可能看到收益。
Safe-haven assets like gold may gain demand, while defence stocks could see gains.
在伊朗的反应和潜在的外交会谈的不确定性下,预计不稳定性将持续下去。
Volatility is expected to persist amid uncertainty over Iran’s response and potential diplomatic talks.