欧洲央行:在中东不确定性下采取数据依赖的加息路径 – 北欧银行
北欧联合银行首席分析师Jan von Gerich认为,尽管市场情绪数据疲软且增长面临下行风险,欧洲央行仍然关注通胀风险。

北欧联合银行首席分析师Jan von Gerich认为,尽管市场情绪数据走软且增长面临下行风险,欧洲央行仍然关注通胀风险。该行预计从6月开始将连续四次加息25个基点,同时也承认调查疲软、贷款标准收紧以及中东局势变化可能限制紧缩力度。不过,管道价格压力和上升的通胀预期使欧洲央行倾向于进一步加息。

通胀风险超过增长信号走软

“上周欧洲央行表示,通胀上行风险和增长下行风险均有所增加,但整体信息明确表明央行目前更担心价格风险,并正朝着6月会议加息25个基点的方向前进。”

“由于货币政策并非预设路径,未来数据出现重大意外以及中东战争的新进展,自然可能使这家依赖数据的央行走上不同的道路。”

“此外,欧洲央行的银行贷款调查显示下行风险,银行普遍报告贷款标准收紧,而贷款需求正在减弱。”

“在通胀方面,更及时的价格压力指标已开始上升,引发欧洲央行的担忧。”

“然而,数据已显示管道中存在价格压力,因此即使战争迅速结束且能源价格大幅下降,也可能不足以缓解欧洲央行对通胀的担忧,尽管这无疑会影响市场对欧洲央行最终需要实施多少紧缩的预期。”

(本文借助人工智能工具撰写,并由编辑审核。)

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