En directo: Irán considera la posibilidad de bombardear Europa ante la escalada de la guerra de Trump

cryptonews.ruPubblicato 2026-08-19Pubblicato ultima volta 2026-08-19

Introduzione

Irán estudia la posibilidad de bombardear objetivos militares estadounidenses en Europa si el expresidente Trump intensifica el conflicto. Países como Bulgaria y Chipre están siendo considerados como posibles objetivos para represalias. En medio de la escalada de tensiones, Teherán también ha contemplado ataques a los cables de fibra óptica submarinos en el Estrecho de Ormuz. En un contexto económico paralelo, los grandes tenedores de Bitcoin han vuelto a acumular activos, añadiendo aproximadamente 43,000 BTC, equivalentes a 2.75 mil millones de dólares, en los últimos 60 días.

  • Irán está considerando la posibilidad de atacar objetivos militares estadounidenses en Europa si Trump intensifica la guerra.
  • Bulgaria y Chipre figuran entre los países considerados como posibles ubicaciones para contramedidas.
  • En medio de las crecientes tensiones, Teherán también ha considerado la posibilidad de atacar cables de fibra óptica submarinos en el estrecho de Ormuz.
  • Los grandes poseedores de Bitcoin están volviendo a comprar activos, añadiendo en los últimos 60 días aproximadamente 43 000 BTC por valor de 2,75 mil millones de dólares.

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Domande pertinenti

Q¿Qué está considerando Irán en respuesta a una posible escalada bélica de Trump?

AIrán está considerando la posibilidad de lanzar ataques contra objetivos militares estadounidenses en Europa, con países como Bulgaria y Chipre mencionados como ubicaciones potenciales para contramedidas.

Q¿Qué países europeos se mencionan como posibles objetivos en el artículo?

ABulgaria y Chipre son los dos países europeos mencionados específicamente como posibles lugares para las contramedidas iraníes.

Q¿Qué otra infraestructura crítica está evaluando Irán, según el artículo?

AAdemás de los objetivos en Europa, Irán también ha considerado la posibilidad de atacar cables de fibra óptica submarinos en el Estrecho de Ormuz.

Q¿Qué actividad destacada relacionada con Bitcoin se menciona en el contenido?

AEl artículo menciona que grandes tenedores de Bitcoin han vuelto a comprar activos, acumulando aproximadamente 43,000 BTC por un valor de 2.75 mil millones de dólares en los últimos 60 días.

Q¿Bajo qué circunstancias Irán llevaría a cabo estos posibles ataques?

AIrán contemplaría estas acciones si el expresidente de EE. UU., Donald Trump, intensificara o escalara un conflicto bélico.

Letture associate

JPMorgan Research Report Analysis: Moderna's INT Trial Meets Endpoints, but Market Already Priced In

On August 19, J.P. Morgan (JPM) published a research report analyzing Moderna's recent Phase III trial success for its Individualized Neoantigen Therapy (INT), developed in partnership with Merck, in adjuvant melanoma. The trial met its primary endpoint of significantly improved recurrence-free survival and the key secondary endpoint of distant metastasis-free survival. While JPM acknowledged the strong clinical value of these results, particularly the prevention of distant metastasis, the bank stated that this success was widely anticipated, with an 85% prior probability of success, and is already reflected in Moderna's current market valuation. Following the announcement, Moderna's stock rose in pre-market trading. However, JPM maintained its Underweight rating and $40 price target, implying approximately 36% downside from the current price of ~$63. The core rationale is that the success in adjuvant melanoma, a relatively small market in immuno-oncology, is fully priced in. Moderna's future valuation hinges entirely on INT's ability to demonstrate similar efficacy across broader cancer indications. JPM's valuation model incorporates only a modest risk-adjusted value (~$3/share) for the melanoma approval. Approximately $15/share of its target price is attributed to INT's potential in other cancer types. The report identifies upcoming data readouts in non-melanoma cancers (e.g., lung, head & neck, renal) as the critical variable that will determine the platform's ultimate value. Upside risks include better-than-expected data in these new indications, while downside risks involve clinical failures, regulatory delays, or commercial underperformance. In conclusion, JPM views the pre-market stock move as driven by short covering and trading sentiment rather than a fundamental re-rating. The bank remains bearish, arguing that Moderna must now prove INT's efficacy as a platform technology beyond melanoma to justify its current market cap.

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Treasury Department Directly Intervenes to Suppress Long-Term Interest Rates

The article discusses the U.S. Treasury's recent direct intervention to suppress long-term bond yields through buyback operations. While distinct from traditional Yield Curve Control (YCC), this move is interpreted as direct government intervention in its own financing costs. The author emphasizes the short-term tactical nature of this action and contrasts it with the Federal Reserve's upcoming, potentially divergent, policy stance at Jackson Hole. The core issue is framed as a long-term U.S. strategic dilemma: managing high deficit levels. The analysis argues that deficit reduction cannot realistically come from spending cuts or traditional industries, but must rely on achieving higher economic growth driven by technological breakthroughs. Current monetary tightening, while possibly curbing yields and inflation in the short term, is seen as potentially counterproductive to this necessary long-term investment in technology and supply chain resilience. The piece draws historical parallels, placing the current intervention between the 2000-2002 Treasury buybacks (for liquidity) and larger-scale Fed-led "Operation Twist" maneuvers. The effectiveness of the Treasury's action is deemed limited without Federal Reserve cooperation, which would signify a more significant policy shift. Ultimately, the author views such technical, bureaucratic interventions as treating symptoms rather than the underlying disease of the U.S. economy's structural challenges and "K-shaped" divergence. The conclusion suggests that sustained yield suppression by the Fed, combined with specific geopolitical outcomes, could serve as a catalyst for a more profound discussion on broader U.S. and dollar trajectory.

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Treasury Department Directly Intervenes to Suppress Long-Term Interest Rates

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