2025年11月14日英国市场暴跌, 税收计划传闻引发债券出售和收益高峰。
UK markets tumbled on Nov. 14, 2025, after tax plan rumors sparked bond sell-offs and yield spikes.
2025年11月14日, 英国金融市场下跌至2025年11月14日, 此前有人猜测总理雷切尔·里夫斯推翻了提高所得税的计划,
UK financial markets fell on November 14, 2025, after speculation that Chancellor Rachel Reeves had reversed plans to raise income taxes, sparking a sell-off in government bonds and pushing 10-year and 30-year gilt yields to multi-day highs.
英镑最初沉没,但稳定下来,而FTSE 100下降了近1%。
The pound dipped initially but stabilized, while the FTSE 100 dropped nearly 1%.
在经济数据薄弱和政治不确定的情况下,投资者对无准备金支出的担忧和11月26日预算前财政信誉的削弱作出消极反应。
Investors reacted negatively to concerns over unfunded spending and weakened fiscal credibility ahead of the November 26 Budget, amid weak economic data and political uncertainty.
分析人员警告说,缺乏明确的财政指导可能导致借贷成本上升和市场不稳定。
Analysts warned the lack of clear fiscal guidance could lead to higher borrowing costs and market instability.