分析师表示,债券市场波动是股票和信贷面临的最大宏观风险。
Bond market volatility is biggest macro risk for equities and credit, says analyst Vantage Point Asset Management's Nick Ferres says that moves in yields have been significant and have mostly been about real yield and growth, and have yet to reflect a possible inflation shock. He warns the bond market volatility is the biggest macro risk for equities and credit.
Vantage Point Asset Management 的尼克·费雷斯(Nick Ferres)表示,收益率变动幅度显著,主要与实际收益率和经济增长有关,目前尚未反映潜在的通胀冲击。
Bond market volatility is biggest macro risk for equities and credit, says analyst Vantage Point Asset Management's Nick Ferres says that moves in yields have been significant and have mostly been about real yield and growth, and have yet to reflect a possible inflation shock. He warns the bond market volatility is the biggest macro risk for equities and credit.
他警告称,债券市场波动是股票和信贷面临的最大宏观风险。
Bond market volatility is biggest macro risk for equities and credit, says analyst Vantage Point Asset Management's Nick Ferres says that moves in yields have been significant and have mostly been about real yield and growth, and have yet to reflect a possible inflation shock. He warns the bond market volatility is the biggest macro risk for equities and credit.
33分钟前
33 minutes ago