最新报道:The stock market experienced a sharp decline on Friday, with major indices dropping over 3% amid rising inflation concerns and geopolitical tensions. Analysts cite three key reasons investors should avoid buying the dip: 1) Persistent inflation signals more aggressive Fed rate hikes ahead, 2) Earnings season reveals weakening corporate profit margins, and 3) Technical indicators show further downside potential. "This isn't a typical pullback but reflects deeper economic headwinds," warned Goldman Sachs strategist David Kostin. The S&P 500 closed at 3,850, its lowest level since March, while Bitcoin fell 5% to $28,400 alongside risk assets. Market volatility is expected to remain elevated in coming weeks.