国债收益率
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5月13日电,日本10年期国债收益上涨8个基点,至1.465%,为自4月以来的最高水平。
news flash· 2025-05-12 23:53
智通财经5月13日电,日本10年期国债收益上涨8个基点,至1.465%,为自4月以来的最高水平。 ...
5月13日电,澳大利亚3年期国债收益率一度上涨12个基点,为一个月来最大涨幅。
news flash· 2025-05-12 22:50
Group 1 - Australia's 3-year government bond yield rose by 12 basis points, marking the largest increase in a month [1]
澳大利亚3年期国债收益率一度上涨12个基点,创最近一个月最大盘中涨幅。
news flash· 2025-05-12 22:50
Core Viewpoint - Australia's 3-year government bond yield rose by 12 basis points, marking the largest intraday increase in the past month [1] Group 1 - The increase in the bond yield indicates a significant shift in investor sentiment and market conditions [1]
两年期德债收益率涨约13个基点,投资者对避险主权债的需求降温
news flash· 2025-05-12 16:24
Core Viewpoint - The German bond market experienced a significant increase in yields across various maturities, indicating a shift in investor sentiment and expectations regarding interest rates and economic conditions [1]. Group 1: Yield Movements - The yield on the 10-year German government bond rose by 8.6 basis points to 2.648%, reaching a daily high of 2.650% [1]. - The 2-year German bond yield increased by 12.8 basis points, closing at 1.913%, with intraday trading between 1.821% and 1.923% [1]. - The 30-year German bond yield saw a rise of 6.2 basis points, ending at 3.081% [1]. Group 2: Yield Spread - The yield spread between the 2-year and 10-year German bonds decreased by 4.182 basis points, now at +73.273 basis points [1].
两年期英债收益率涨约9个基点
news flash· 2025-05-12 16:05
30年期英债收益率涨4.3个基点,50年期英债收益率涨4.2个基点。 周一(5月12日)欧市尾盘,英国10年期国债收益率涨7.4个基点,报4.642%。 2/10年期英债收益率利差跌1.435个基点,报+64.192个基点。 两年期英债收益率涨8.9个基点,报3.998%,"跳空高开"之后,日内高位窄幅震荡上行,北京时间23:35 刷新日高至4.004%。 ...
买家规避债务上限风险,8月美国国债收益率下跌
news flash· 2025-05-12 14:15
美国财政部长贝森特(Scott Bessent)上周五表示,如果届时不提高或暂停联邦债务上限,美国可能会 耗尽现金。此后,美国国债投资者又开始回避8月到期的国债。周一,受美国股票需求激增的影响,美 国国债收益率普遍上涨。在贝森特向美国立法者发出警告后,8月到期的美国国债收益率涨幅位居前 列。8月国债收益率已达到所有期限(从四周到一年)的最高水平,部分原因是投资者预计美联储将在9 月降息。 ...
德国两年期国债收益率上涨14个基点,至1.92%,为4月3日以来的最高水平。
news flash· 2025-05-12 13:10
德国两年期国债收益率上涨14个基点,至1.92%,为4月3日以来的最高水平。 ...
关税恐慌退潮,美股反攻大势定了?大摩Wilson警告:现在乐观为时过早
Hua Er Jie Jian Wen· 2025-05-12 11:14
Group 1 - The core viewpoint is that despite improved sentiment in the U.S. stock market, it is premature to declare an all-clear signal, as key factors supporting the rebound have not fully materialized [1] - Morgan Stanley's strategist Michael Wilson identifies four key factors for the U.S. stock market's rebound: optimism over a trade agreement with China, stable earnings expectations, a more dovish stance from the Federal Reserve, and a ten-year Treasury yield below 4% [1] - The ten-year Treasury yield has exceeded 4.4%, and Morgan Stanley believes that a yield above 4.5% will pose a valuation challenge [1] Group 2 - The U.S. Department of Commerce announced that the U.S. and China have canceled a total of 91% of tariffs, which has led to a rise in S&P 500 futures and risk assets [1] - During the earnings season, tariff issues have been a focal point for companies, with a record number of mentions in earnings calls, leading about 30 companies to withdraw or suspend earnings guidance due to tariff uncertainties [2] - The S&P 500 index has broken through the previous resistance level of 5500 points and returned to the range of 5500-6100 points, with the next significant technical test being the convergence of the 200-day and 100-day moving averages at 5750-5800 [2]
5月12日电,德国两年期国债收益率续涨,上涨9.5个基点至1.89%。
news flash· 2025-05-12 07:51
智通财经5月12日电,德国两年期国债收益率续涨,上涨9.5个基点至1.89%。 ...
澳大利亚3年期国债收益率上行5个基点,达到一个月以来的最高水平。
news flash· 2025-05-12 01:43
Core Viewpoint - Australia's 3-year government bond yield has increased by 5 basis points, reaching its highest level in a month [1] Group 1 - The rise in the 3-year bond yield indicates a potential shift in investor sentiment towards higher interest rates [1] - This increase may reflect broader economic conditions and expectations regarding monetary policy adjustments [1] - The current yield level could influence borrowing costs and investment decisions across various sectors [1]