美联储:利率偏鹰派风险 – 美国纽约梅隆银行
BNY的约翰·维利斯和大卫·谭指出,最近的FOMC会议纪要和美联储理事沃勒的评论显示美国利率存在更高的双向风险。

BNY的John Velis和David Tam指出,最近的FOMC会议纪要和美联储理事Waller的评论显示美国利率面临更高的双向风险。他们已下调了此前对2026年两次降息的预测,现在预计除非霍尔木兹海峡的石油流动相对较快恢复,否则政策将保持不变。

FOMC会议纪要和Waller转变语调

“5月FOMC最新发布的会议纪要显示出比我们预期更鹰派的讨论,甚至超过了FOMC声明中意外出现的三次异议所反映的政策取向。”

“美联储理事Waller——2025年7月因对劳动力市场的担忧而早期持异议者,并在2026年1月再次持异议——上周五公开表示,利率上升和下降的可能性相当,他对短期通胀预期向长期通胀预期渗透表示担忧。”

“正如读者所知,上周我们放弃了全年两次降息的预期,现在预计除非霍尔木兹海峡在初夏至仲夏期间相对较快重新开放,否则政策将保持不变。”

“然而,如果波斯湾的石油流动恢复,我们不会惊讶于降息重新进入议程。”

“周四的PCE通胀报告很可能显示——不足为奇的是——消费者价格加速上涨,进一步强化了美联储的鹰派倾向。”

(本文借助人工智能工具生成,并由编辑审核。)

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