凯投宏观经济学家Jonas Goltermann在报告中指出,从目前情况看,美国国债市场在经历4月2日特朗普宣布关税政策引发动荡后的错位现象已基本修复。
该机构副首席市场经济学家称,自4月初以来,长期美债收益率已回吐了大部分剧烈(且意外)的涨幅。
“总体而言,相较4月2日之后的最初阶段,情况已明显改善”。不过其强调,目前短期和长期债券收益率之差仍显著高于历史水平。
据伦敦证交所集团数据显示,当前两年期和十年期美债收益率分别稳定在3.686%和4.205%。
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