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美国10年期基准国债
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周二(7月8日)纽约尾盘,美国10年期基准国债收益率涨1.99个基点,报4.3992%,日内交投于4.3754%-4.4331%区间。两年期美债收益率跌0.40个基点,报3.8905%,日内交投于3.9176%-3.88%区间,美国总统特朗普透露铜关税信息后刷新日高并迅速回落。
news flash· 2025-07-08 21:12
两年期美债收益率跌0.40个基点,报3.8905%,日内交投于3.9176%-3.88%区间,美国总统特朗普透露铜 关税信息后刷新日高并迅速回落。 周二(7月8日)纽约尾盘,美国10年期基准国债收益率涨1.99个基点,报4.3992%,日内交投于 4.3754%-4.4331%区间。 ...
周三(7月2日)纽约尾盘,美国10年期基准国债收益率涨3.52个基点,报4.2769%,日内至北京时间14:00持稳于平盘附近,随后开始震荡上行,00:50涨至4.3063%刷新日高,之后逐步回吐涨跌幅。两年期美债收益率涨1.23个基点,报3.7848%,北京时间20:15发布美国ADP就业数据(小非农)时从日高3.7992%附近急剧跳水,转而跌至3.7437%刷新日低。
news flash· 2025-07-02 21:16
Core Viewpoint - The U.S. 10-year Treasury yield increased by 3.52 basis points, reaching 4.2769%, with fluctuations observed throughout the day [1] Group 1: Treasury Yields - The 10-year Treasury yield rose to a daily high of 4.3063% before gradually retreating [1] - The 2-year Treasury yield increased by 1.23 basis points, settling at 3.7848% [1] - Following the release of the ADP employment data, the 2-year yield sharply dropped from a daily high of 3.7992% to a low of 3.7437% [1]
周二(7月1日)纽约尾盘,美国10年期基准国债收益率涨1.36个基点,报4.2416%,日内交投于4.1852%-4.2769%区间,北京时间19:09-23:51持续走高。两年期美债收益率涨5.32个基点,报3.7725%,日内交投于3.6946%-3.7848%区间。
news flash· 2025-07-01 21:22
Core Viewpoint - The U.S. Treasury yields experienced an increase, with the 10-year benchmark yield rising to 4.2416% and the 2-year yield reaching 3.7725% [1] Group 1 - The 10-year Treasury yield rose by 1.36 basis points, trading within a range of 4.1852% to 4.2769% during the day [1] - The 2-year Treasury yield increased by 5.32 basis points, with a trading range of 3.6946% to 3.7848% [1] - The upward movement in yields was observed during the period from 19:09 to 23:51 Beijing time [1]
周五(6月27日)纽约尾盘,美国10年期基准国债收益率上涨3.52个基点,报4.2769%,本周累计下跌9.83个基点,交投于4.4028%-4.2378%区间,持续走低。两年期美债收益率涨2.86个基点,报3.7480%,本周累跌15.97个基点,交投于3.9289%-3.7071%区间。
news flash· 2025-06-27 21:21
Group 1 - The yield on the 10-year U.S. Treasury bond increased by 3.52 basis points, reaching 4.2769% [1] - The 10-year Treasury yield has decreased by a total of 9.83 basis points this week, trading within the range of 4.4028%-4.2378% [1] - The yield on the 2-year U.S. Treasury bond rose by 2.86 basis points, now at 3.7480% [1] Group 2 - The 2-year Treasury yield has seen a cumulative decline of 15.97 basis points this week, fluctuating between 3.9289%-3.7071% [1]
周三(6月25日)纽约尾盘,美国10年期基准国债收益率跌0.39个基点,报4.2906%,日内交投于4.33%-4.2749%区间。两年期美债收益率跌4.44个基点,报3.7807%,全天处于下跌状态,整体交投于3.8155%-3.7664%区间。
news flash· 2025-06-25 21:16
两年期美债收益率跌4.44个基点,报3.7807%,全天处于下跌状态,整体交投于3.8155%-3.7664%区间。 周三(6月25日)纽约尾盘,美国10年期基准国债收益率跌0.39个基点,报4.2906%,日内交投于 4.33%-4.2749%区间。 ...
国际金融市场早知道:6月25日
Xin Hua Cai Jing· 2025-06-25 01:08
Group 1 - The US banking sector is set to experience the most significant capital loosening since 2008, with regulatory agencies reviewing a proposal to lower the enhanced supplementary leverage ratio (eSLR) requirement by 1.5 percentage points from the current 5% [2] - The European Union is preparing to implement additional tariff countermeasures against the US ahead of the July 9 deadline for US-EU trade negotiations, aiming to create a "real threat" to the US [2] - Germany has significantly increased its budget for future fiscal deficits to boost defense spending to 3.5% of GDP, with net new borrowing expected to reach approximately €500 billion over the next five years [2] Group 2 - The US current account deficit surged to a historical peak of $450.2 billion in the first quarter, with the goods trade deficit expanding to a record high of $466 billion [2] - The consumer confidence index in June dropped by 5.4 points to 93, falling below all economists' expectations, indicating potential concerns in consumer sentiment [2] - The Federal Reserve Chairman Jerome Powell indicated that recent economic data could have supported further rate cuts, but concerns over tariffs impacting inflation efforts may delay such decisions until at least September [1][2]
周一(6月23日)纽约尾盘,美国10年期基准国债收益率下跌2.76个基点,报4.3475%,北京时间08:00开盘以来,至19:29保持微幅高位震荡状态,最高达到4.4028%,随后持续下挫,在伊朗报复“美国周末袭击伊朗核设施”之际、于00:36跌至4.2886%刷新日低。两年期美债收益率跌4.44个基点,报3.8633%,日内交投于3.9289%-3.8083%区间。
news flash· 2025-06-23 21:21
两年期美债收益率跌4.44个基点,报3.8633%,日内交投于3.9289%-3.8083%区间。 周一(6月23日)纽约尾盘,美国10年期基准国债收益率下跌2.76个基点,报4.3475%,北京时间08:00 开盘以来,至19:29保持微幅高位震荡状态,最高达到4.4028%,随后持续下挫,在伊朗报复"美国周末 袭击伊朗核设施"之际、于00:36跌至4.2886%刷新日低。 ...
周五(6月20日)纽约尾盘,美国10年期基准国债收益率跌1.57个基点,报4.3751%,本周累计下跌7.11个基点,一直处于下跌状态,整体交投于4.4443%-4.3377%区间。两年期美债收益率跌3.337个基点,报3.9077%,本周累跌5.87个基点,整体交投于3.9749%-3.8824%区间,仅仅在周一美股开盘之后短暂上涨,周三美联储宣布FOMC连续四次按兵不动、披露(含利率预期点阵图的)经济预期概要(SEP)“急剧”下挫至本周最低位。
news flash· 2025-06-20 21:24
周五(6月20日)纽约尾盘,美国10年期基准国债收益率跌1.57个基点,报4.3751%,本周累计下跌7.11 个基点,一直处于下跌状态,整体交投于4.4443%-4.3377%区间。 两年期美债收益率跌3.337个基点,报3.9077%,本周累跌5.87个基点,整体交投于3.9749%-3.8824%区 间,仅仅在周一美股开盘之后短暂上涨,周三美联储宣布FOMC连续四次按兵不动、披露(含利率预期 点阵图的)经济预期概要(SEP)"急剧"下挫至本周最低位。 ...
周三(6月18日)纽约尾盘,美国10年期基准国债收益率大致持平,报4.3909%,日内交投于4.4087%-4.3377%区间,整体呈现出V形走势。两年期美债收益率跌1.04个基点,报3.9414%,北京时间13:21微幅上扬至3.9561%刷新日高,北京时间02:00发布美联储利率决议声明+经济预期概要(SEP)时跳水至3.8824%刷新日低,随后跌幅收窄。
news flash· 2025-06-18 21:26
两年期美债收益率跌1.04个基点,报3.9414%,北京时间13:21微幅上扬至3.9561%刷新日高,北京时间 02:00发布美联储利率决议声明+经济预期概要(SEP)时跳水至3.8824%刷新日低,随后跌幅收窄。 周三(6月18日)纽约尾盘,美国10年期基准国债收益率大致持平,报4.3909%,日内交投于 4.4087%-4.3377%区间,整体呈现出V形走势。 ...
周四(6月12日)纽约尾盘,美国10年期基准国债收益率下跌6.11个基点,报4.3592%,全天处于下跌状态、整体交投于4.4184%-4.3396%区间,北京时间20:30发布美国就业周报和PPI时跳水刷新日低。两年期美债收益率跌4.38个基点,报3.9077%,日内交投于3.9494%-3.8743%区间。
news flash· 2025-06-12 21:21
两年期美债收益率跌4.38个基点,报3.9077%,日内交投于3.9494%-3.8743%区间。 周四(6月12日)纽约尾盘,美国10年期基准国债收益率下跌6.11个基点,报4.3592%,全天处于下跌状 态、整体交投于4.4184%-4.3396%区间,北京时间20:30发布美国就业周报和PPI时跳水刷新日低。 ...