随着中东紧张局势加剧推动能源价格上涨,德国国债回吐部分涨幅。法国国债也缩减涨幅,但表现优于欧元区同类债券,使法国国债与德国国债的利差有望结束连续五周扩大的走势。
交易员转而加大对欧洲央行加息的押注,目前预计到年底将加息23个基点,到2027年底将加息75个基点,而开盘后不久的预期分别为21个基点和69个基点。
法国将周四国债拍卖规模设定在100亿至120亿欧元之间,符合分析师预期。
原油上涨0.6%,至每桶104.92美元,稍早一度下跌1.9%。
英国国债也回吐部分涨幅,但收益率曲线仍维持牛市趋平走势;交易员将英国央行加息预期上调多达6个基点,目前预计11月份将加息23个基点,到明年年底累计加息111个基点。
市场:
德国国债收益率下跌1个基点至3.49%;
德国国债期货上涨17个点120.84;
意大利10年期国债收益率下降3个基点至4.57%;
法国10年期国债收益率下降4个基点至4.85%;
10年期英国国债收益率下降4个基点至5.45%。
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