战略“掠夺”引发担忧 将向全球投资者释放负面信号
Ge Long Hui A P P·2026-01-05 13:52
Core Viewpoint - The report highlights the significant increase in geopolitical tensions and market volatility risks due to the U.S. government's actions against Venezuela's president and plans to take over the country's oil industry [1] Group 1: Geopolitical Impact - The U.S. actions signal additional risk for countries investing in U.S. assets, as they indicate a willingness to take military action against neighboring countries deemed strategically important [1] - The situation has led to a rise in demand for safe-haven assets such as gold and silver, reflecting concerns over global stability [1]