欧元区:能源冲击持续给欧洲央行施压 – 北欧银行
Jan von Gerich 强调,由于与中东紧张局势相关的持续能源冲击,欧元区通胀风险仍然偏向上行

Jan von Gerich 强调,由于与中东紧张局势相关的持续能源冲击,欧元区通胀风险仍然偏向上行。即使在较温和的能源情景下,他也强调供应链中断、更高的生产成本和企业层面的价格调整已经嵌入,令欧洲央行对通胀能否迅速回归目标持怀疑态度。

持续的能源冲击维持风险

“所有成员都认为,通胀前景的风险相较于工作人员的基线预测偏向上行,中东冲突的发展是主要风险来源。”

“随着能源冲击比三月和四月会议时预期的更为持久,且间接影响开始变得日益明显且广泛,通胀前景进一步恶化。”

“展望未来,警告指出,即使中东冲突得到可持续解决,也不一定意味着冲击的结束。”

“即使在能源价格较低的温和情景下——如果冲突得到迅速且可持续的解决——冲击带来的通胀损害中很大一部分已经渗透到更广泛的经济中。”

“特别是供应链中断、更高的生产成本和企业层面的价格调整,不会随着冲突的解决而简单或迅速逆转。”

(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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