多国长期国债收益率攀升 全球金融市场格局迎来阶段性重构

智通财经
Aug 21
【多国长期国债收益率攀升 全球金融市场格局迎来阶段性重构】今年以来,全球债券市场深度调整,以美国国债为核心的全球无风险收益率持续上行,各大主要经济体长端国债收益率普遍走高。8月中旬,美国10年期国债收益率站到4.5%上方,30年期美债收益率同步突破5%,法国、英国、日本等主流经济体长期国债收益率同步攀升。为对冲收益率快速上行带来的市场压力,美国财政部于8月19日出台“救市”举措,宣布将国债回购操作规模扩容至少一倍。业内受访专家表示,本轮全球国债收益率上行是多重因素共振的结果,美国高企的政府债务风险、通胀反弹、主要央行延续紧缩货币政策、国债市场供需结构失衡等多重力量共同推动了行情的走高。作为全球资产定价基准,美债收益率持续上行,正重塑全球资本流动路径、大类资产估值体系与各国货币政策节奏,股票、外汇、大宗商品及跨境投资的定价逻辑全面适配调整,全球金融市场格局迎来阶段性重构。

Disclaimer: Investing carries risk. This is not financial advice. The above content should not be regarded as an offer, recommendation, or solicitation on acquiring or disposing of any financial products, any associated discussions, comments, or posts by author or other users should not be considered as such either. It is solely for general information purpose only, which does not consider your own investment objectives, financial situations or needs. TTM assumes no responsibility or warranty for the accuracy and completeness of the information, investors should do their own research and may seek professional advice before investing.

Most Discussed

  1. 1
     
     
     
     
  2. 2
     
     
     
     
  3. 3
     
     
     
     
  4. 4
     
     
     
     
  5. 5
     
     
     
     
  6. 6
     
     
     
     
  7. 7
     
     
     
     
  8. 8
     
     
     
     
  9. 9
     
     
     
     
  10. 10