-- 木曜正午、欧州株式市場はペルシャ湾の緊張、原油価格の上昇、そしてホルムズ海峡の開通の不確実性をトレーダーが懸念する中、小幅安で推移した。 欧州市場では石油関連株が上昇を牽引したが、銀行株とハイテク株は出遅れた。 投資家はまた、ウォール街の先物取引が下落していること、そしてアジア市場の前日終値が下落していることにも注目した。 その他のニュースとして、トルコのアナドル通信はイスラマバード当局者の話として、米国とイランが週末にパキスタンで直接交渉を行う予定だと報じた。 欧州主要株価指数であるストックス欧州600指数は、取引時間中盤で0.7%安となった。 ストックス欧州600テクノロジー指数は1.7%安、ストックス欧州600銀行指数は0.6%安となった。 ストックス欧州600石油・ガス指数は1.2%上昇した一方、ストックス欧州600食品・飲料指数は0.8%下落した。 欧州REIT指数であるREITEは0.7%下落した。 各国の主要株価指数では、ドイツのDAX指数は1.3%下落、ロンドンのFTSE100指数は0.4%下落した。パリのCAC40指数は0.9%下落、スペインのIBEX35指数は0.8%下落した。 ドイツ10年国債の利回りは上昇し、2.98%付近となった。 北海ブレント原油先物(期近)は4.1%上昇し、1バレル98.63ドルとなった。 ユーロ・ストックス50指数の変動性指数は1.2%上昇し25.01となり、今後30日間の欧州株式市場の変動性が平均を上回ることを示唆しており、これはネガティブなシグナルである。20を上回る数値は市場の不安定化を、20を下回る数値は市場の落ち着きを示唆する。
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Research Alert: CFRA Maintains Hold Rating On Shares Of United Rentals Inc.
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