汇丰的Daniela Russell在一份报告中表示,英国国债收益率中期可能会下跌,因为11月26日预算案中的财政紧缩举措应会促使英国央行进一步降息。不过,在有报道称英国首相基尔·斯塔默可能面临领导权挑战后,政治不确定性或对英国国债构成风险。
Russell表示:“如果能控制住任何政治动荡,我们继续看好英国国债的中期前景,其收益率可能会在2026年进一步下跌。”
Tradeweb的数据显示,十年期英国国债收益率最新上涨2个基点,报4.405%。汇丰预测,到2026年底,该收益率将降至3.75%。
责任编辑:刘明亮
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