Peter Tchir, head of macro strategy at Academy Securities, sees the US 10-Year yield hitting 4.35 before 4.75, says current volatility only gives a “two-to-three week vision” for equities, and explains why he can see oil moving lower from here. He speaks on “Bloomberg Surveillance.”
Academy Securities宏观策略主管彼得·奇尔预计,美国10年期国债收益率将在4.75之前触及4.35,他说当前的波动率只能给出股市的 “两到三周愿景”,并解释了为什么他可以看到油价从现在开始走低。他在 “彭博监控” 上发表演讲。