比推消息,据金十报道,XTB 研究主管 Kathleen Brooks 在一份报告中说,由于债务水平高企,英国政府债券市场可能面临更大的波动性。一个主题正在出现:自 2022 年以来,我们看到英国国债收益率更频繁地飙升,这是自疫情以来英国债券市场的一个特征。这种波动可能会持续下去,直到债务水平下降,公共部门支出率恢复到疫情前的水平。
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