英镑:政治风险与英国央行路径共同塑造前景——野村
野村证券的多米尼克·巴宁指出,英镑(GBP)对基尔·斯塔默辞职的反应平静,投资者关注安迪·伯纳姆成为首相的前景及其财政大臣的选择。

野村证券的多米尼克·巴宁指出,英镑(GBP)对基尔·斯塔默辞职的反应相对平静,投资者关注安迪·伯纳姆成为首相及其财政大臣人选的前景。巴宁认为,英镑的中期走势更多将由英格兰银行(BoE)相对鸽派的反应机制和政策利率差距缩小所驱动,而非英国政治发展,尽管财政规则的变动和加税仍是关键的尾部风险。

英格兰银行政策被视为推动英镑走势的因素

“外汇市场对基尔·斯塔默辞职的消息反应相当平静,英镑实际上因新首相可能被任命而非选举产生的迹象表现优异,这可能减轻竞选过程中任何引人注目且对英镑不利的头条风险。”

“从政治和财政角度来看,有两个问题在我们看来仍是英镑的持续尾部风险。”

“更广泛地说,周期性动态是我们对英镑表现不佳及做多欧元/英镑交易思路的核心。”

“我们长期认为英格兰银行的反应机制将比许多同业更为鸽派。”

“我们的基本预期是,到2027年底,政策利率差距将缩小125个基点(欧洲央行加息75个基点,英格兰银行降息50个基点)。”

(本文借助人工智能工具撰写,并由编辑审核。)

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