【中信证券:预计债市短期区间波动】金十数据4月21日讯,中信证券指出,Q1经济数据超预期叠加股市修复韧性,市场对政策预期有所分化。近期官方密集释放积极政策信号,但强调精准把握时机,短期预期管理或占主流。特别国债发行计划落地,而宽货币预期下资金面压力或整体可控。货币政策余量充足,使用节奏或稳健,预计债市短期区间波动。关注后续海外经济体货币政策动向,或为我国政策操作创造更好条件。
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