欧元:欧洲央行偏鹰派重新定价伴随债券抛售 – 德意志银行
德意志银行研究部的早间评论员Reid指出,欧洲资产对新一轮能源冲击敏感。市场对欧洲央行(ECB)12月前加息的预期大幅上升,暗示继6月加息后,今年有三次加息的可能性。

德意志银行研究部的早间评论指出,欧洲资产对新一轮能源冲击敏感。市场对欧洲央行(ECB)12月加息的定价大幅上升,暗示继6月加息后,今年可能加息三次。主权债券遭抛售,10年期德国国债收益率录得自5月以来最大单日涨幅,法国OAT收益率达到2009年以来的最高水平。

欧洲央行预期与收益率飙升

“与此同时,欧洲央行的鹰派重新定价更为显著,12月前的加息幅度当日上涨12.7个基点,达到39.5个基点。”

“鉴于欧洲央行已于6月加息,这一定价暗示年底前加息三次的可能性在增加。”

“正如冲突初期一样,昨日的局势再度升级对主权债券造成重大打击,尤其是欧洲因该地区对能源冲击的暴露而受到影响。”

“因此,10年期德国国债收益率(+9.9个基点)飙升至3.09%,创下自5月以来最大单日涨幅。”

“而在法国,10年期OAT收益率(+13.5个基点)收于3.93%,创下自2009年以来的最高水平。”

(本文借助人工智能工具生成,并由编辑审核。 了解更多。

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