2011美國(guó)股市11大瘋狂時(shí)刻
歐洲債務(wù)危機(jī) ????日期:2011年8月10日 ????道瓊斯指數(shù):下跌520點(diǎn),,跌幅4.6% ????標(biāo)準(zhǔn)普爾降低美國(guó)主權(quán)信用評(píng)級(jí),,美國(guó)舊傷未愈,又不得不將注意力轉(zhuǎn)向歐洲,。外界對(duì)于歐債危機(jī)和歐洲信用評(píng)級(jí)下降的擔(dān)憂日甚一日,。當(dāng)天下午,美國(guó)銀行(Bank of America)高調(diào)召開(kāi)投資者電話會(huì)議,,結(jié)果卻于事無(wú)補(bǔ),,因?yàn)槊绹?guó)銀行CEO布萊恩?莫尼漢根本無(wú)法消除投資者對(duì)銀行業(yè)健康狀況和美國(guó)總體經(jīng)濟(jì)預(yù)期的擔(dān)憂。 ????投資者小心翼翼,,草木皆兵,。股市再度大跌。 |
European woes ????Date: August 10, 2011 ????Dow: -520, down 4.6% ????Still licking our wounds from the S&P downgrade, the U.S. turned its attention to Europe, where anxiety over the nation's ongoing debt crisis and a possible European credit downgrade began to climb. A highly publicized Bank of America investor conference call that afternoon didn't make matters any better when CEO Brian Moynihan failed to ease investor concerns over the health of the banking industry and the nation's overall economic outlook. ????Investors were feeling skittish and fickle. Stocks tanked. |