英镑:在英国政治不确定性重新加剧的情况下,英镑走软 – 加拿大丰业银行
英镑(GBP)兑美元略显疲软,表现不及大多数G10货币,因政治不确定性再度引发国债市场短暂波动,加拿大丰业银行首席外汇策略师肖恩-奥斯本(Shaun Osborne)和埃里克-西奥雷特(Eric Theoret)报告称。

英镑(GBP)兑美元略显疲软,表现不及大多数G10货币,因政治不确定性再度引发国债市场短暂波动,加拿大丰业银行首席外汇策略师肖恩-奥斯本(Shaun Osborne)和埃里克-西奥雷特(Eric Theoret)报告称。

国债波动对英镑施压

“英镑疲软,兑美元下跌0.1%,在所有G10货币中表现相对不佳,唯独日元(JPY)除外。政治不确定性再度出现,似乎在英国国债市场产生了一些温和的波动,收益率因关于对首相斯塔默(PM Starmer)领导地位可能挑战的传闻而上涨(随后回落)约4个基点。”

“考虑到市场对2022年‘特拉斯时刻’及其去年夏天小规模重演后对英国财政状况的敏感性,政治不确定性再度出现对英国及英镑来说是负面的。”

“周四发布的公共部门借贷数据略好于预期,且在本周早些时候的CPI和就业数据发布后。国内风险在本周末前仍然较高,我们期待周五的零售销售和初步PMI数据,这对英国央行(BoE)决策者(及其语气)至关重要,因为我们期待在2月5日的下一次决策。”

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