以色列和美国于2026年2月袭击伊朗,引起对战争的恐惧并引发全球市场动荡。
Israel and the U.S. struck Iran in February 2026, raising fears of war and sparking global market turmoil.
2026年2月,以色列和美国之间的地缘政治紧张局势升级。
In February 2026, geopolitical tensions rose between Israel and the United States.
对伊朗发动袭击,引起对更广泛冲突的担心,并造成全球市场波动。
launched strikes on Iran, raising fears of a wider conflict and causing global market volatility.
预计印度市场将更低地开放,尼夫提50号在关闭200天的EMA之后,在连续生产4个红蜡烛之后,出现了熊熊式的技术标志。
Indian markets are expected to open lower, with the Nifty 50 showing bearish technical signs after closing below its 200-day EMA and producing four consecutive red candles.
分析人员预期会发生负面交易,但受上一个星期五损失的限制,关键支持接近25 000-25 050,抵抗力为25 300-25 350。
Analysts expect sideways to negative trading, limited by previous Friday losses, with key support near 25,000-25,050 and resistance at 25,300-25,350.
黄金和其他安全港资产的需求可能会增加,而国防库存可能会增加。
Gold and other safe-haven assets may see an increase in demand, while defense stocks may rise.
由于伊朗的反应和潜在外交会谈的不确定性,预计不稳定性将持续存在。
Volatility is expected to persist due to uncertainty about Iran's response and potential diplomatic talks.