每周底线:换岗。加拿大金融市场本周相对稳定,尽管债券收益率上升表明利率预期略有回升。在缺乏主要国内数据的情况下,市场受到全球力量的影响,因为油价波动和挥之不去的通胀不确定性推动加拿大政府收益率在曲线上走高。
The Weekly Bottomline: Changing of the Guard.Canadian financial markets were relatively steady this week, though rising bond yields signaled a modest firming in rate expectations. In the absence of major domestic data, markets were shaped by global forces, as oil price volatility and lingering inflation uncertainty pushed Government of Canada yields higher across the curve.