英国国债

Search documents
长期英国国债收益率波动凸显出市场的脆弱性
news flash· 2025-07-04 07:59
金十数据7月4日讯,巴克莱分析师Moyeen Islam在一份报告中说,近期长期英国国债收益率的波动凸显 出英国国债市场的脆弱性。周三,30年期英国国债收益率攀升至5.452%的四周高点,因投资者担心英 国新任财政大臣的前景以及财政规则的变化。 长期英国国债收益率波动凸显出市场的脆弱性 ...
在债务水平下降之前,英国国债市场可能会持续波动
news flash· 2025-07-03 07:46
金十数据7月3日讯,XTB研究主管Kathleen Brooks在一份报告中说,由于债务水平高企,英国政府债券 市场可能面临更大的波动性。一个主题正在出现:自2022年以来,我们看到英国国债收益率更频繁地飙 升,这是自疫情以来英国债券市场的一个特征。这种波动可能会持续下去,直到债务水平下降,公共部 门支出率恢复到疫情前的水平。 在债务水平下降之前,英国国债市场可能会持续波动 ...
英国国债收益率曲线陡峭,市场重新评估财政政策前景
news flash· 2025-07-02 13:22
Core Viewpoint - The UK bond yield curve is steepening as the market reassesses the outlook for fiscal policy, indicating a shift in expectations regarding public borrowing and potential government actions [1] Group 1: Market Reassessment - The market is evidently re-evaluating the prospects of UK fiscal policy, leading to a significant steepening of the bond yield curve [1] - A recent vote in the House of Commons has prompted a reconsideration of public borrowing possibilities [1] Group 2: Government Borrowing and Budget Expectations - The market has recognized that the government has deviated from its borrowing path and anticipates corrective measures in the budget [1] - If the current market trend continues, the government may need to announce measures on the revenue side rather than cutting public spending [1] Group 3: Central Bank Actions - The Bank of England is reportedly assessing Quantitative Tightening (QT) and may conclude asset sales by the fall [1]