Penyesuaian pasar obligasi menyebabkan penurunan pendapatan dari berbagai produk keuangan tetap, saran industri: sinyal penyesuaian mendekati akhir sudah terlihat

GoldenOctober2024

Data Golden March 18th, recent, on social media, many netizens ‘complained’ about the declining returns of financial products. It is reported that the recent bond market has experienced an adjustment, causing the yield of fixed income products with bonds as the main investment target to decline, with some products having an APR close to -10% in the past month. In response, Pu Yi Standard researcher Zhang Qiaochu stated that with moderately loose monetary policy, the long-term Annual Percentage Rate logic of the bond market has not changed. Reporters noticed that many financial management companies recently stated that the signal of the end of this round of bond market adjustment has emerged. Xingyin Financial Management stated that in terms of time, the adjustment has lasted for about 2 months, close to the upper limit of the past 2-year bond market adjustment cycle. Agricultural Bank Financial Management also believes that judging from the time and space dimensions, this round of bond interest rate adjustment has approached the upper limit of bond interest rate adjustments in recent years. In addition, Ping An Financial Management stated that the pricing logic of the bond market will eventually return to the fundamentals, which is beneficial for the macro environment of the bond market and has not fundamentally reversed, and the time of substantial adjustment is a rare allocation opportunity. Although it is necessary to be vigilant about temporary adjustments, the probability of extreme situations in this round of the bond market is low overall.

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