挪威主权财富基金提议减持1060亿美元全球政府债券
Norway’s $2.3 trillion wealth fund proposes $106B cut to global government bonds allocation
推荐理由
全球最大主权基金的重大资产配置调整,直接影响全球固收市场供需与定价逻辑,宏观从业者需关注其对美债收益率及信用利差的传导效应。
Norway's wealth fund shift may tighten US Treasury yields, boost corporate bonds, and influence global fixed income market dynamics.
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