欧元:政策重新定价与能源冲击风险 – BNY
BNY市场宏观策略主管鲍勃·萨维奇(Bob Savage)认为,欧洲央行(ECB)因伊朗引发的能源冲击而采取的鹰派倾向推动了欧元区短端利率上升,尽管通胀预期仍保持在可控范围内。

纽约梅隆银行市场宏观策略主管鲍勃·萨维奇(Bob Savage)认为,欧洲央行(ECB)因伊朗引发的能源冲击而采取的鹰派倾向推高了欧元区短端利率,尽管通胀预期仍保持在可控范围内。萨维奇警告称,进一步加息需要有预期和数据变化的明确依据,接下来的采购经理人指数(PMI)和ifo指数发布对于评估欧元区的增长和投入成本压力至关重要。

欧洲央行的鹰派立场与基本面

“能源冲击引发了货币政策的急剧重新评估,欧洲央行(ECB)、英格兰银行(BoE)和联邦公开市场委员会(FOMC)均发出了比预期更鹰派的信号。盈亏平衡通胀率飙升,而收益率曲线趋平,利率上调预期被大幅重新定价。”

“欧洲央行和英格兰银行拒绝忽视冲突,推动了加息预期的上升。”

“我们不会排除近期加息的可能性,但任何行动都需要预期的变化作为依据,目前没有迹象表明会开启新一轮加息周期,更多的是出于预防性措施。”

“否则,本周数据将较为平静,但欧洲央行将密切关注德国3月初步PMI和ifo指数的发布,这将首次显示冲突对工业和出口商的影响,尤其是在投入成本方面。”

(本文由人工智能工具协助生成,编辑审核。)

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