美国30年期国债收益率升破5.01%,为7月以来首次

美国和英国长期国债收益率大幅攀升,显示金融条件趋紧,主权债市场再度承压,这可能影响整个加密货币市场的流动性和风险偏好。

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事实核查
Three independent sources corroborate the claim. The X post by @DeItaone (published 2026-05-04) states verbatim that the Treasury 30-year yield topped 5.01% for the first time since July. Trading Economics confirms the yield reached 5.02% on May 4, 2026. FRED data shows the yield was 4.98% on April 30, 2026, making a move above 5.01% on May 4 entirely consistent. The 'first time since July' qualifier (implying July 2025) is not independently verified by a long-term chart in this run, but is consistent with the known trajectory of long-dated yields and is stated by a credible real-time financial news aggregator. The minor uncertainty (0.05) reflects the inability to fully verify the 'first time since July' historical comparison from primary data.
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摘要

美国30年期国债收益率自7月以来首次升破5.01%,与此同时,英国30年期国债收益率升至5.76%,创1998年以来新高。长期主权债收益率上升通常反映债券价格下跌和借贷条件收紧,这将对政府、企业和家庭产生影响。对数字资产市场而言,这些走势之所以重要,是因为基准收益率上升会影响全球流动性、融资环境、投资者风险偏好,以及比特币和其他加密货币等投机性资产的相对吸引力。

术语与概念
  • 国债收益率: 投资者持有美国政府债务所获得的回报,常被用作借贷成本和市场风险情绪的基准。
  • 主权债务: 国家政府为融资支出和管理公共财政而发行的债券。
  • 风险偏好: 投资者持有加密货币等波动性资产而非更安全工具的意愿水平。