摩根士丹利:美股显著回调风险骤增,10年期美债收益率升穿4.5%

Odaily星球日报讯 摩根士丹利划定的美股“警戒线”已经失守,该行首席投资官、华尔街知名大多头 Michael Wilson 警告,若美债收益率继续上行且波动率攀升,美国股市将迎来“自 3 月底以来的首次显著回调”。Michael Wilson 表示:“如果长期收益率上升伴随着债券波动率上升,我们预计股市将自 3 月底见底以来出现首次显著回调。”此前,摩根士丹利将 10 年期美债收益率达到 4.5%标记为“收益率可能对股市估值构成更明显阻力的临界点”。(金十)
Disclaimer: OKX Orbit content is provided for informational purposes only. Learn more
Replies
Related Flash News
The Federal Reserve reported that 10% of Americans used or invested in cryptocurrencies in 2025, the highest since 2022
Bank of America survey: Global fund managers hit new highs in stock allocation in May
Navilil: Interest rates will drop significantly after Hormuz resumes navigation
Data: Circle minted about 2 billion USDC on the Solana network last week
Data: Selling pressure on Bitcoin spot and perpetual contracts surges, options market shifts toward bearish protection
HSBC: Even if the U.S. and Iran ceasefire, more central banks may still raise interest rates
A newly created wallet withdrew 41,847 SOL worth $3.55 million from OKX
France may miss the wave of AI agents and stablecoin payments: experts say tax system needs to be adjusted within 6 months to avoid marginalization
Kelp: rsETH recovery makes key progress, with multiple DeFi protocols collectively liquidating attacker positions
Echo Protocol confirmed the attack and suspended all cross-chain transactions


