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2006年国内经济持续过热,高顺差及高投资并存,货币严重过剩,央行政策频繁出台,债券市场走势更加难以捉摸。本文试图通过对目前宏观经济走势以及央行货币政策的分析,针对目前的债券市场走势及相应的投资策略给出一些建议。
In 2006, the domestic economy continued to be overheated, with high surpluses and high investment coexist. There was a serious monetary surplus. Policies by the central bank were introduced frequently and the bond market was even more elusive. This article attempts to give some advice on the current bond market trends and corresponding investment strategies by analyzing the current macroeconomic trends and the central bank’s monetary policies.