![](https://ip.bitcointalk.org/?u=http%3A%2F%2Fposts.cdn.wallstcn.com%2F83%2F95%2F6c%2Fqq-20150722155608.jpg%21article.foil&t=670&c=grsNqu99wigbAQ)
下图对比了美国的股/债收益率关联度与10年-3年期国债收益率变化,可以看出债市收益率波动较大的情况下,股/债收益率关联度会下降。
![](https://ip.bitcointalk.org/?u=http%3A%2F%2Fposts.cdn.wallstcn.com%2Fa9%2Fa1%2F96%2Fqq-20150722161440.jpg%21article.foil&t=670&c=shVIMmkYalKTmw)
这种情况最近发生在4月的债券抛售大潮,当时美国的经济成长也相对疲软。在上世纪90年代以前的1968、1973和1980年,当通胀是债券回报的关键指标是,更高的债券收益率往往导致股市和债市双双大幅回撤。
http://wallstreetcn.com/node/221092
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