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跳水淹死的鱼
跳水淹死的鱼
·
03-02
深度推演美伊战争不同走向对美股市场的影响:
情景一:快速结束,政权迅速崩溃,发生概率30%,这是对美股最友好的结果。 类似于2003年伊拉克战争的逻辑,当时美军发动震慑与敬畏行动之前的几个月,标普500因为不确定性已经跌了近15%,但开战当天反而生长了2.3%,因为市场把它解读为最大的不确定性的落地与消除。入侵后一年内标普500强劲飙升了近29%,道琼斯一个月内反弹8.4%。如果这次美伊冲突也出现快速结束的局面,霍尔木兹海峡一道两周内恢复通行,布伦特原油迅速回归到70-80美元的均衡区间,美联储的降息路径重新打开,标普500在初期2到4%的恐慌下探后会迎来极强的V型释压反弹。科技股、AI算力核心标的以及被错杀的消费成长股将重新接管市场领导权,能源股在开展初期短暂冲高后反倒要小心,获利盘要兑现抛压会上来,国防股会回吐部分战时溢价,但受益于不可逆转的军备补库存周期,中长线多头逻辑依然稳固。 情景二:陷入持久不对称消耗战,发生概率55%,这是最需要你认真对待的基准情景。 在这个情境下,伊朗没有如期崩溃,而是利用地理纵深和加固设施化整为零,转入去中心化的游击与代理人消耗战模式,霍尔木兹海峡不会被彻底物理封锁,因为伊朗自身也依赖该通道出口原油换取外汇,但会通过无人机骚扰、威胁性拦截、网络攻击等灰色地带等手段让海峡 维持极度高危状态,使海事保险费率长期居高不下,这就形成了一种结构性栓塞的状态,不是彻底断流,但也无法正常流通,布伦特原油将被长期钉在85到100美元的高位区间,可能持续半年以上,对美股的影响是什么?这是一种非常痛苦的慢到割肉式的震荡消耗期,VIX恐慌指数将长期徘徊在20到25以上的高位,每一次CPI数据超预期,每一次中东局势升级,都将会引发大盘的剧烈下杀,标普500整体可能经历5%-10%的宽幅震荡回撤,修复周期被大幅拉长,这个阶段最重要的不是猜指数涨跌,而是板块配置的极致分化。航天航空与国防板块将成为全市场
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