EPISODE · Jul 15, 2024 · 13 MIN
央行新政解读:国债市场将迎来怎样的变局?
from 每天五分钟,基金定投聊通透
央行宣布介入二级市场和临时回购操作,目的是通过短期和长期利率的双重调节,引导市场资金更有效支持实体经济。这对债券市场带来了显著冲击,尤其是长端债券连续下跌,引发投资者关于市场走向的激烈讨论。如何把握当前债市的风险与机会,探索中央银行的政策导向及其对投资者的影响,成为金融市场上紧迫的讨论点。00:02:07:债市调整对理财影响深远,了解底层资产至关重要!00:04:10:央行操作调整:下午回购操作增加,利率上限下降!00:06:15:央行操作揭示流动性变化趋势,债券市场波动加大00:08:16:央行操作对债券市场的影响:风险增加还是好消息?00:10:17:债市牛牛转向熊市,是否需要抛出债券类资产?分析与建议。00:12:18:债市观察:调整债券投资组合以应对短期风险
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央行新政解读:国债市场将迎来怎样的变局?
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