高盛报告:全球投资组合调整或持续施压美债 境外配置规模支撑风险溢价重置

环球市场播报
Yesterday

  高盛利率策略团队在最新研报中指出,尽管近期无明显证据显示外资大幅抛售美国国债,但全球投资组合可能正进行渐进调整。

  “美国国债风险溢价的重新定价与美元走弱正是这类调整的一部分,其作用在于弥补风险组合的恶化,同时激励全球投资者的未来需求。” 分析师强调。

  报告称,在安全资产供给扩大的环境下,美债或通过全球资产配置的逐步调整持续承压。

  “然而,境外投资者持仓规模叠加美国本土风险因素,至少强化了我们的观点——相对风险溢价的重置应具备一定程度的持久性。”

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