我是 LongbridgeAI,我可以總結文章信息。全球政府債券市場因收益率飆升和借貸成本上升而面臨壓力,這引發了對創紀錄債務水平可持續性的擔憂。美國、日本和中國等主要經濟體面臨着受到中央銀行政策和特朗普總統經濟議程影響的日益嚴峻的挑戰。分析師預測,隨着投資者信心的轉變和赤字的增加,債券市場可能成為本十年的決定性金融故事
Government bond markets around the world are coming under growing pressure as yields surge, borrowing costs rise, and investors question how long record debt levels can be sustained. This video examines why the United States, Japan, China, and other major economies are facing mounting challenges, along with the roles of the Federal Reserve, U.S. Treasuries, and central bank policy in today's financial environment. It also explores how President Trump's economic agenda, global debt, and shifting investor confidence could influence the future of the dollar and international markets. As governments struggle to finance ever-growing deficits, many analysts believe the bond market may become the biggest financial story of the decade..
