【英国国债领跌全球债市 假日休市归来遭遇补跌】英国国债周二领跌全球政府债券。由于英国市场此前因假日休市,重新开市后出现补跌。基准10年期英国国债收益率一度上涨11个基点,至5.25%;30年期国债收益率则升至5.89%,创1998年5月以来最高水平。与此同时,交易员加大了对英国央行加息的押注,目前市场定价显示,到今年年底前英国央行将加息接近两次。英国国内当天缺乏新的明显利空因素,分析师更多将债市下跌归因于周末中东冲突再度升级推动能源价格上涨。投资者原本就已经担忧英国通胀卷土重来以及财政状况。Jefferies International欧洲首席经济学家兼策略师Mohit Kumar表示,“债市遭遇抛售时,英国国债往往表现得更差。在财政赤字问题上,英国往往是最薄弱的一环。10月预算案即将公布,而削减支出可能仍难以实现,因此一旦出现任何推高长期债券收益率的负面消息,英国国债往往都会跑输。”
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