-- 金曜午後の消費関連株はまちまちの動きとなり、ステート・ストリート・コンシューマー・ステープルズ・セレクト・セクターSPDR ETF(XLP)は0.3%下落、ステート・ストリート・コンシューマー・ディスクレショナリー・セレクト・セクターSPDR ETF(XLY)は0.8%上昇した。 セクター別ニュースでは、ミシガン大学が金曜に発表した最終調査結果によると、米国の消費者信頼感指数は4月の速報値から改善したものの、依然として過去最低水準にとどまっている。短期的なインフレ期待は1年ぶりの大幅な上昇を記録した。主要センチメント指数は前月比6.6%減の49.8となった。ブルームバーグの調査では、4月の指数は速報値の47.6から48.5に修正されると予想されていた。 企業ニュースでは、プロクター・アンド・ギャンブル(PG)が金曜に予想を上回る第3四半期決算を発表し、通期見通しを据え置いた。株価は3.2%上昇した。 チャーター・コミュニケーションズ(CHTR)は、住宅向けビデオおよびインターネット事業の低迷により売上高が前年同期比で減少したため、第1四半期の業績は市場予想を下回ったと発表した。株価は22%下落した。 ロイター通信によると、ステランティス(STLA)は、アントニオ・フィロサ最高経営責任者(CEO)の経営再建戦略に基づき、今後の投資の大半をジープ、ラム、プジョー、フィアットに振り向ける計画だ。同社は5月に長期計画を発表する予定で、業界最大規模となる14ブランドに及ぶ広範なブランドポートフォリオを合理化しつつ、最も収益性の高いグローバルブランドの強化に注力すると報じられている。ステランティスの株価は3%下落した。
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Saudi Shares Start Week Higher; US-Iran Peace Talks Canceled
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Research Alert: CFRA Maintains Hold Rating On Shares Of United Rentals Inc.
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