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著名金融分析師吉姆威利 (Jim Willie) 博士最近對 2025 年可能衝擊美國經濟的大規模債務危機發出警報。
A renowned financial analyst, Dr. Jim Willie, recently raised the alarm about a massive debt crisis that could hit the American economy in 2025. According to him, the United States is heading towards a critical point with $7 trillion of debt maturing, which could trigger a major economic crisis.
著名金融分析師吉姆威利博士最近對美國經濟可能在2025年遭受的大規模債務危機發出警報。困境。
United States: Debt Crisis for the Economy in 2025
美國:2025 年經濟將面臨債務危機
Dr. Willie explains that this debt maturity, where old debts are exchanged for new ones, coincides with a rise in interest rates that could significantly increase borrowing costs. He predicts a domino effect on credit markets, causing economic pressure not only in the United States but also globally.
威利博士解釋說,債務到期(即舊債換成新債)恰逢利率上升,這可能會顯著增加借貸成本。他預測信貸市場將產生骨牌效應,不僅給美國而且給全球帶來經濟壓力。
A brief increase in the value of the US dollar could accompany this crisis, due to a rush towards what is perceived as a safe haven. However, Willie warns that this would only be a temporary respite before inflation begins to erode the purchasing power of paper money in the United States.
由於人們紛紛湧向被視為避風港的地方,美元的價值可能會伴隨這場危機而短暫上漲。然而,威利警告說,在通貨膨脹開始侵蝕美國紙幣的購買力之前,這只是一個暫時的喘息機會。
However, the strategy of the American Federal Reserve to print more money to face the crisis could lead to an uncontrollable inflationary spiral in US. Markets inflated by easy credit, such as real estate, stock portfolios, and luxury goods, will face brutal corrections, leading to a massive sell-off of certain assets.
然而,聯準會印製更多鈔票來應對危機的策略可能會導緻美國出現無法控制的通膨螺旋。因寬鬆信貸而膨脹的市場,例如房地產、股票投資組合和奢侈品,將面臨殘酷的調整,導致某些資產的大規模拋售。
Potential Safe Havens for Americans
美國人潛在的避風港
Despite this bleak outlook, Dr. Willie sees gold and silver as potential safe havens. He believes that these precious metals will retain their value during economic chaos, providing protection as currencies lose their strength. His main advice is clear: preparation is essential to face what he calls an imminent financial upheaval in the United States.
儘管前景黯淡,威利博士仍將黃金和白銀視為潛在的避風港。他認為,這些貴金屬將在經濟混亂期間保持其價值,在貨幣貶值時提供保護。他的主要建議很明確:做好準備應對他所說的美國即將發生的金融動盪至關重要。
In summary, as the United States grapples with its dilemma of growing debt, the ripple effects highlight how fragile the global financial system is. Policymakers will thus need to act quickly to strengthen systemic weaknesses before the crisis expected in 2025 materializes.
總而言之,在美國努力應對債務成長的困境之際,其連鎖反應凸顯了全球金融體系的脆弱性。因此,政策制定者需要迅速採取行動,在 2025 年預計發生的危機成為現實之前,加強系統性弱點。
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