川普2.0下的美國利率走勢與債券投資 episode artwork

EPISODE · Feb 2, 2025 · 5 MIN

川普2.0下的美國利率走勢與債券投資

from 渣打市場洞察 · host 渣打銀行

美國十年期公債殖利率近期大幅波動,反映出市場對川普可能重返白宮的政策影響充滿期待與疑慮。本期podcast 將深入探討債券市場的最新動態、川普政策方向的潛在影響,以及投資人應如何在這波波動中把握布局機會!點此查看渣打最新市場觀點 。投資策略部主管  劉家豪

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川普2.0下的美國利率走勢與債券投資

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