美国资产敞口
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美媒:美联储独立性堪忧之际,“抛售美国”交易势头增强
Sou Hu Cai Jing· 2025-09-01 22:51
Core Viewpoint - Concerns are rising regarding the independence of the Federal Reserve amid President Trump's attacks, leading to increased discussions about reducing exposure to U.S. assets among foreign investors [1][2]. Group 1: Investor Sentiment - Foreign investors are increasingly discussing the need to reduce their exposure to U.S. assets due to concerns over the Federal Reserve's independence [2]. - U.S. domestic investors are less motivated to reallocate funds away from U.S. assets, attributed to a sense of complacency [2]. Group 2: Economic Indicators - There is a lack of evidence supporting inflation driven by tariffs, despite average tariffs nearing 20% [3]. - The uncertainty surrounding the Federal Reserve's independence may lead to a sharp rise in long-term interest rates, potentially undermining hopes of alleviating U.S. debt repayment pressures [3]. Group 3: Market Reactions - The stability of the $37 trillion U.S. bond market is at risk due to increasing uncertainty, with potential liquidity panic in the short-term bond market as international investors signal a desire to limit exposure to long-term U.S. bonds [3]. - Despite concerns reflected in the bond and forex markets, the U.S. stock market is currently performing well, indicating a disconnect in pricing [3].