小摩:强劲PMI数据与能源因素或是近期债券抛售主因

格隆汇
Sep 28
摩根大通策略师在报告中表示,最新一轮债券抛售反映了9月PMI数据强于预期,尤其是欧元区和美国,同时市场对能源相关消息较为敏感。策略师表示,围绕美国可能限制柴油出口的噪音又增添了一层不确定性。摩根大通建议投资者短期内对德国国债久期保持中性,不过策略师强调,对于能够承受短期波动的长期投资者而言,德国国债中期收益率仍具有吸引力。

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