We're sunsetting PodQuest on 2025-07-28. Thank you for your support!
Export Podcast Subscriptions
cover of episode US Deficit Concerns Spur Wall Street Selloff

US Deficit Concerns Spur Wall Street Selloff

2025/5/22
logo of podcast Bloomberg Daybreak: Asia Edition

Bloomberg Daybreak: Asia Edition

AI Deep Dive AI Chapters Transcript
People
G
Gina Martin-Adams
J
Joe Little
R
Rebecca Walzer
Topics
Joe Little: 我认为债券市场义警正在觉醒,并对市场产生重大影响。如果美联储处于降息周期,而长期债券收益率却在上升,这将对全球投资市场产生重大影响。投资者可能会考虑配置欧洲债券、英国金边债券或新兴市场债券,甚至公司债。多数全球投资者正在反思美国股市占全球市值的比例过高的问题,对美元的信心有所降低。在动荡的环境中,灵活和战术性地制定投资策略至关重要。从长远来看,市场波动和不确定性为投资者提供了机会,投资者应延长投资期限,关注欧洲和亚洲的主题。 Rebecca Walzer: 我认为全球宏观经济变化是由中央政府的债务支出和债务增长所推动的。美国债务销售的疲软是一个警钟,预示着全球经济放缓。全球面临系统性不确定性,中国和日本等国也面临问题。美国无法持续支付利息,这导致了信用评级下调。我们正面临全球宏观经济灾难,无法通过数学方式避免。全球正进入债务螺旋,债务过多,收入过少,无法维持。股票市场的风险不仅限于美国,而是全球性的。机构投资者仍然看好欧洲,看空美国。建议持有10%至15%的现金,其余配置于硬资产,因为环境变化迅速,消费者情绪低落。

Deep Dive

Shownotes Transcript

Asian shares were mixed and Treasuries continued their slide at the open Thursday following losses in Wall Street on concerns about the US's ballooning deficit. Treasuries fell across the curve Wednesday with long-term debt bearing the brunt as the 30-year yield rose 12 basis points. Tepid demand for a $16 billion sale of 20-year bonds rekindled fears over US government borrowing and budget deficit. That sapped sentiment after a sharp rebound in risk assets over the past month and revealed structural concerns in the bond market. We get some market perspective from Joe Little, Global Chief Strategist at HSBC Asset Management.

Traders have been piling into bets that long-term bond yields would surge on concerns over the US's swelling debt and deficits, with Moody's Ratings on Friday lowering the nation's credit score below the top triple-A level. For many, the message was: Unless America gets its finances in order, the perceived risks of lending to the government will rise. We get reaction from Rebecca Walser, President at Walser Wealth Management.

See omnystudio.com/listener) for privacy information.