---
title: "分析——在战争和滞胀中寻找避险之地？不妨关注中国的债券市场"
type: "News"
locale: "zh-CN"
url: "https://longbridge.com/zh-CN/news/282652219.md"
description: "投资者越来越多地转向中国债券，这些债券在全球债券市场下滑的情况下表现良好。中国的低通胀和能源准备被视为使其能够避免加息的因素，这与其他经济体利率上升形成对比。3 月份，中国债务吸引了 25 亿美元的外资流入，而其他新兴市场则面临 167 亿美元的资金流出。收益率曲线正在陡峭化，短期收益率下降，而长期收益率由于对通胀和经济稳定性的担忧仍然承压。在全球不确定性中，中国的债券市场被视为避风港"
datetime: "2026-04-14T08:11:26.000Z"
locales:
  - [zh-CN](https://longbridge.com/zh-CN/news/282652219.md)
  - [en](https://longbridge.com/en/news/282652219.md)
  - [zh-HK](https://longbridge.com/zh-HK/news/282652219.md)
---

# 分析——在战争和滞胀中寻找避险之地？不妨关注中国的债券市场

By Li Gu, Samuel Shen and Summer Zhen SHANGHAI/HONG KONG, April 14 (Reuters) - Investors are scooping up Chinese debt, which has stood tall in sliding bond markets globally, betting that China's low inflation and preparedness for an oil shock allow it to resist raising interest rates. It is driving inflows where there is selling in other emerging markets and a steeper yield curve that contrasts

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