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全球市场感受“日本冲击”!

日本央行意外「转向」,在全球市场掀起惊涛骇浪。

12月20日周二,日本央行意外地调整了收益率曲线控制计划,宣布将收益率目标上限从0.25%上调至0.5%左右,将1-3月日本国债购买规模提高至9万亿日元/月。彭博经济学家称,作为全球最后一个政策转向的央行,日本央行的政策调整将在全球金融市场产生「冲击波」。

日元暴涨、日本基准10年期国债收益率几乎翻倍、美元急跌、美债收益率应声走高、全球股市下跌。

日元兑美元一度升至133.21日元,在日本央行决议发布之前报137.16日元。

日本10年期收益率飙升21个基点至0.467%,为2015年以来最高;5年期日本国债收益率飙升12个基点至0.26%,为2013年以来最高。

日本东证指数跌幅扩大至2%,日经225指数跌3%。

美股期货跳水,纳指期货跌超1%

美元指数日内跌0.16%,现报104.5。

印度股指Sensex指数和Nifty指数均下跌1%;黄金期货上行逼近1800美元关口。

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