根据野村证券的说法,10 年期国债收益率在一个易于突破的区间内波动,因为高企的原油价格表明,增长和就业担忧开始抵消通胀恐慌
The 10-year Treasury yield traded in a range vulnerable to breakouts in either direction, as elevated crude prices suggested growth and employment concerns were beginning to offset inflation fears, Nomura said.
