最新报道:According to Bijie.com, Wall Street strategists warn that US stocks may face further volatility in the short term. Several institutions believe that amid the government shutdown, trade uncertainty, and high valuations, the stock market is likely to experience increased volatility in the short term. Paisley Nardini, Head of Multi-Asset Strategy at Simplify, stated, "Political and fiscal news, as well as Federal Reserve policy, could trigger greater volatility in the final months of the year. The market is more sensitive to news than usual, reflecting its fragility." The S&P 500 has now gone 97 consecutive trading days without a 5% correction, exceeding the long-term average of 59 days, suggesting the market may be entering a technical retracement cycle. Morgan Stanley's Michael Wilson noted that there is still a risk of a correction in the short term. JPMorgan Chase's Andrew Tyler also warned that short-term risks are elevated due to high stock valuations, crowded positions, and trade uncertainty.