美股周二开盘走高,美债收益率小幅回落。投资者正消化略超预期的通胀数据及银行股财报,三大指数集体上扬。标普500指数开盘涨0.5%,纳斯达克指数攀升0.9%。此前数据显示美国6月CPI环比上涨0.3%,创1月以来最大涨幅,与市场预期基本吻合。
该通胀数据虽未强化美联储的加息预期,但印证了关税政策对物价的推升作用,令央行对降息持审慎态度。盘前股指期货已获支撑,英伟达宣布恢复向中国销售H20芯片后股价大涨4%。欧洲斯托克600指数同步上涨0.3%。
市场仍押注美联储9月降息概率约60%,十年期美债收益率回落2个基点至4.41%。"核心CPI环比略低于预期,"Monex Europe宏观策略主管指出,"这加剧了美联储与总统的政策分歧——央行有充分理由推迟降息,而特朗普政府持续施压要求降息。"
银行股财报呈现分化格局: - 摩根大通盈利超预期涨1% - 花旗集团业绩亮眼飙升3% - 富国银行因下调净利息收入指引下挫3%
贸易战动态持续牵动市场神经。特朗普威胁8月1日起对欧盟征收30%关税(高于4月提议的20%),但周一表态愿重启谈判。日本正紧急协调本周五举行高级别磋商。野村证券分析师解读:"高关税声明实为谈判筹码,投资者普遍认为这是策略性施压。"
日本参议院选举冲击波席卷债市: - 执政联盟恐失多数席位 - 十年期日债收益率飙升至1.595%,创2008年10月以来新高 - 日债收益率攀升引发欧美长债共振,德国30年期国债收益率回落6基点至3.19%
亚洲市场方面,中国二季度经济放缓幅度小于预期,展现抗压韧性。汇市波动有限,欧元兑美元持平于1.1665,美元对日元升值0.4%。黄金价格上涨0.3%至每盎司3,351美元,白银持稳于38.14美元。国际油价几无变动,布伦特原油报69.18美元/桶,WTI原油报67.0美元/桶。
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