Group 1 - The article discusses the implications of Trade War 2.0 on the stock market and investments, highlighting the potential for increased volatility and uncertainty in financial markets [1] - It examines China's countermeasures in response to trade tensions, suggesting that these actions are strategic and aimed at protecting national interests [1] - The article questions whether China has the capability to escalate the situation significantly, indicating a complex interplay of power dynamics in international trade [1] Group 2 - The analysis includes potential impacts on specific sectors, noting that industries heavily reliant on exports may face challenges due to tariffs and trade barriers [1] - It also addresses investor sentiment, suggesting that uncertainty may lead to cautious investment strategies and a reevaluation of risk exposure [1] - The article emphasizes the importance of monitoring economic indicators and geopolitical developments to assess future market trends [1]
从防御到对峙,我们已做好最坏打算?
Hu Xiu·2025-10-22 11:35