美元:能源冲击中上涨风险持续 – BBH
布朗兄弟哈里曼的埃利亚斯·哈达德指出,近期的政治言论短暂稳定了风险情绪,但新一轮的避险情绪推高了美元、油价和债券收益率,同时压制了股市。由于没有关键数据公布,市场关注美联储官员的讲话。

布朗兄弟哈里曼的埃利亚斯·哈达德指出,近期政治言论短暂稳定了风险情绪,但新一轮的风险厌恶推动美元、油价和债券收益率上升,同时压制股市。由于没有关键数据公布,市场关注美联储官员的讲话。BBH认为利差使美元指数(DXY)维持在96.00至100.00区间,但与能源冲击相关的压力使美元风险偏向上行。

利差使美元维持区间震荡

“以色列总理本杰明·内塔尼亚胡表示战争将比人们预期的更早结束,能源基础设施将不再成为攻击目标,市场情绪在隔夜短暂稳定。然而,这种短暂的平静让位于新一轮的风险厌恶。原油价格回升,股市承受新的下行压力,债券收益率再次上升,美元走强。”

“因此,利率预期上调。未来十二个月内美国降息的押注已被市场抛弃,而大多数其他发达经济体则已计入额外加息。”

“总结:美国与其他主要经济体之间的利差仍将美元指数锚定在96.00至100.00区间内。但在达到能源冲击的恐慌高峰之前,美元风险仍偏向上行,主要受金融市场压力期间美元融资需求的驱动。”

(本文借助人工智能工具撰写,并由编辑审核。)

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