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BTC $75,467.28 +1.51%
ETH $2,352.91 +0.89%
BNB $633.29 +2.22%
XRP $1.44 +2.76%
SOL $88.04 +3.58%
TRX $0.3242 -0.87%
DOGE $0.0985 +2.34%
ADA $0.2570 +3.79%
BCH $449.36 +2.21%
LINK $9.52 +3.08%
HYPE $43.57 -2.91%
AAVE $116.22 +9.70%
SUI $0.9939 +2.77%
XLM $0.1689 +5.29%
ZEC $331.86 -3.85%

分析師:在債務水平下降之前,英國國債市場可能會持續波動

2025-07-03 15:42:28
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ChainCatcher 消息,据金十報導,XTB 研究主管 Kathleen Brooks 在一份報告中說,由於債務水平高企,英國政府債券市場可能面臨更大的波動性。一個主題正在出現:自 2022 年以來,我們看到英國國債收益率更頻繁地飆升,這是自疫情以來英國債券市場的一個特徵。這種波動可能會持續下去,直到債務水平下降,公共部門支出率恢復到疫情前的水平。

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