#鲍威尔发言
Short-Term Risk Management: Investors should be wary of input inflation pressures caused by tariffs and may appropriately reduce exposure to consumer goods and trade-sensitive sectors.
Data Watch: Next month's GDP and core PCE inflation data will be key to the Federal Reserve's next policy direction.
Interest Rate Expectations: In a 'wait-and-see' tone, the market should not overly bet on multiple rate cuts this year, but should be prepared for rates to be maintained or slightly increased.