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## Equities in Asia Rise as Inflation Eases and Chinese Stocks Gain on Stimulus Expectations

(Bloomberg) — Equities in Asia rose Monday following a rally on Wall Street as investors embraced fresh signs that inflation is easing further. Chinese stock gauges led gains on expectations of more government stimulus.

The demand for risk assets comes after further easing in key US inflation gauges, signaling fresh optimism that a soft landing for the world’s biggest economy is within reach. Federal Reserve Bank of Minneapolis President Neel Kashkari described the inflation outlook as “quite positive,” despite the likelihood of job losses and slower growth.

The Bank of Japan announced unscheduled bond-purchase operations to buy debt, seeking to contain a selloff after it said Friday it will allow yields to rise above a 0.5% cap. The yen swung to a loss against the dollar.

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### Asia Markets Extend Gains as China’s Government Shows Support

Shares in Japan and Korea also rose, helping to push a regional index toward the highest closing level of the year. Gains for Chinese equities pushed the MSCI Emerging Markets Index as much as 1% higher, headed to levels not seen since June last year. US equity futures and contracts on European stocks fell in Asia amid a rally Friday that pushed the Nasdaq 100 nearly 2% higher.

Friday’s move by the BOJ is “possibly a very small step towards the end of YCC,” Joey Chew, head of Asia FX research for HSBC said on Bloomberg Television, referring to the yield curve control policy. “They could very well give up YCC but I think that could be something more for next year.”

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### China Shows Confidence in Boosting Its Economy

July manufacturing PMI data for China remained in contraction but beat estimates. More government efforts to shore up the economy emerged on Friday, including a plan to boost consumer industries and steps to grow an exchange dedicated to helping small firms get access to funds.

Chinese stocks rose from Monday’s open, extending last week’s gains. The CSI 300 Index climbed as much as 1.8%, taking its monthly gains to 5.8%, the most since January. The Hang Seng China Enterprises Index, which tracks mainland stocks listed in Hong Kong, rose by over 3%.

“The government’s stance has clearly turned more supportive,” said Vey-Sern Ling, managing director at Union Bancaire Privee. There is more confidence that China will back up stimulus talk with concrete measures, he added.

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### Volatility Risks in Currency and Bond Markets

Currency and bond markets face the risk of continued volatility as investors weigh whether rate hikes from the Federal Reserve and European Central Bank last week mark the end of their tightening cycles.

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### Implications of BOJ’s Yield Curve Control Tweak

On Friday, BOJ Governor Kazuo Ueda said the central bank would allow 10-year bond yields to rise above a ceiling it now calls a point of reference. That paves the way for a future normalization of policy that has implications for a wide range of global assets heavily exposed to Japanese money.

Yields on 10-year Japanese bonds jumped to their highest in nine years as investors speculated whether this tweak to BOJ’s yield curve control was a precursor to more drastic changes for its ultra-easy monetary policy.

Any significant adjustment to the YCC policy would have implications for the Treasury market given that Japan households are one of the largest buyers of US debt, according to Dennis DeBusschere founder of 22V Research. The rationale is: if yields in Japan become more attractive, there could be selling of US government bonds to buy the Asian nation’s debt. Rates on 10-year Treasury notes rose 4 basis points to 3.99% in Asia.

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### Summary

Equities in Asia rose as investors welcomed signs of easing inflation and anticipated more government stimulus in China. The AI legalese decoder can assist in navigating complex legal documents and deciphering the implications of policy changes. It can also provide insights into the potential impact of government measures on the stock market. Additionally, the Decoder can help investors understand the implications of central bank actions and policy tweaks, as well as the potential risks and opportunities in currency and bond markets.

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