BTC $78,486.37 -1.01%
ETH $2,459.61 -0.49%
BNB $699.30 -0.14%
XRP $1.39 -6.17%
SOL $96.85 -1.36%
TRX $0.3352 -1.63%
DOGE $0.0847 -4.46%
ADA $0.2050 -4.61%
BCH $261.51 -2.25%
LINK $11.25 -2.42%
HYPE $80.80 -0.97%
AAVE $123.21 -3.76%
SUI $0.7361 -5.93%
XLM $0.1797 -5.63%
ZEC $776.99 -2.64%
BTC $78,486.37 -1.01%
ETH $2,459.61 -0.49%
BNB $699.30 -0.14%
XRP $1.39 -6.17%
SOL $96.85 -1.36%
TRX $0.3352 -1.63%
DOGE $0.0847 -4.46%
ADA $0.2050 -4.61%
BCH $261.51 -2.25%
LINK $11.25 -2.42%
HYPE $80.80 -0.97%
AAVE $123.21 -3.76%
SUI $0.7361 -5.93%
XLM $0.1797 -5.63%
ZEC $776.99 -2.64%

分析师:在债务水平下降之前,英国国债市场可能会持续波动

2025-07-03 15:42:28

ChainCatcher 消息,据金十报道,XTB 研究主管 Kathleen Brooks 在一份报告中说,由于债务水平高企,英国政府债券市场可能面临更大的波动性。一个主题正在出现:自 2022 年以来,我们看到英国国债收益率更频繁地飙升,这是自疫情以来英国债券市场的一个特征。这种波动可能会持续下去,直到债务水平下降,公共部门支出率恢复到疫情前的水平。

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