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Pasar Fixed Income Bergantung Pada Skenario Geopolitik – Danske Bank

FXStreet - Kepala Analis di Danske Bank Allan von Mehren melihat situasi geopolitik sebagai penggerak utama untuk pasar fixed income.

Kutipan Kunci

"Dengan tidak ada data ekonomi utama dijadwalkan untuk hari ini, situasi geopolitik akan terus mendorong aksi harga di pasar fixed income".

"Selama seminggu terakhir, ketegangan di Irak, Israel dan Ukraina telah imbal hasil inti lebih rendah di tengah kurva datar, dengan Bunds menyentuh rekor baru imbal hasil ke rekor rendah baru dan imbal hasil US Treasuries 10 thn di tahun berjalan ke terendah".

"Dalam kemungkinan ketidakpastian jangka pendek akan tetap tinggi tapi setelah fokus pada ketegangan geopolitik memudar, kami berharap untuk melihat suku bunga lebih tinggi di AS dan long-end mendorong bear menambah curam EUR inti dan kurva swap".

** Ruang Berita FXStreet, FXStreet **

SEB: Konfirmasi Divergensi Bull EUR/USD - eFXnews

Tim eFXnews mencatat bahwa SEB menunjuk ke kenaikan EUR/USD ke area resisten signifikan 1,3445 pada hari Jumat.
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Indeks Indikator Utama Inggris Juni Naik ke 0.6% Dari 0.5%

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