意大利10年期国债收益率攀升至3.4%,为10月14日以来的最高水平,投资者消化了欧元区和美国央行的鹰派信号。欧洲央行连续第三次会议保持利率稳定,并指出通胀前景基本保持不变,而美联储今年第二次降息25个基点,主席杰罗姆·鲍威尔警告称,12月的进一步宽松“并非板上钉钉”。尽管收益率更高,但意大利的借贷成本在周四的拍卖中有所下降,财政部以3.46%的总收益率出售了45亿欧元的新10年期英国国债,该国债将于2036年2月到期,为2024年11月以来的最低水平。经济数据显示,意大利经济在第三季度意外停滞,受到工业部门收缩和服务业停滞的拖累,而失业率上升至6.1%,高于6%的预期。
Italy’s 10-year BTP yield climbed to 3.4%, its highest level since October 14, as investors digested hawkish signals from both the Eurozone and US central banks. The ECB held interest rates steady for a third consecutive meeting, noting that the inflation outlook remains broadly unchanged, while the Fed cut rates by 25 basis points for the second time this year, with Chair Jerome Powell cautioning that further easing in December is “not a foregone conclusion.” Despite higher yields, Italy’s borrowing costs fell at Thursday’s auctions, with the Treasury selling €4.5 billion of a new 10-year BTP maturing in February 2036 at a 3.46% gross yield, the lowest since November 2024. Economic data showed the Italian economy unexpectedly stalled in Q3, weighed down by a contraction in the industrial sector and stagnant services, while the unemployment rate rose to 6.1%, above expectations of 6%.