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债券市场经过了2010年“黑色十月”的冲击后,在11月份整体维持弱势格局,但是初步显现出企稳的迹象。在系列政策措施出台后,市场的聚焦点依然在于后期通货膨胀走势上,前期过于强烈的通货膨胀预期则相对衰减,整体预期的不确定性依然是11月份的市场预期主流。
After the impact of the “Black October” in 2010, the bond market as a whole maintained a weak pattern in November, but initially showed signs of stabilization. After the introduction of the series of policies and measures, the focus of the market is still on the trend of post-inflation. The pre-over-inflationary expectancy is relatively declining. The overall expected uncertainty remains the mainstream of market expectations in November.