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FINWIRES

企业盈利和波斯湾前景令欧洲股市午盘承压。

-- 周三午盘,欧洲股市小幅走低,交易员们正在权衡财报季的形势,并等待德黑兰与华盛顿和平谈判的进展。 房地产和科技股领涨欧洲大陆市场,而银行股和石油股则表现落后。 高端零售股在奢侈品供应商爱马仕和开云集团公布令人失望的季度业绩后回落。这两家公司报告称,销售额受到中东冲突的部分抑制。爱马仕股价午盘下跌8.2%,开云集团股价下跌9.9%。 投资者还关注着隔夜亚洲交易所收盘走高而持平的华尔街股指期货。 经济新闻方面,欧盟统计局报告称,欧元区和欧盟2月份经季节性调整后的工业生产环比增长0.4%。与去年同期相比,欧元区2月份工业产出下降0.6%,欧盟2月份工业产出下降0.1%。 泛欧斯托克600指数午盘下跌0.1%。 斯托克600科技指数上涨0.3%,斯托克600银行指数下跌0.3%。 斯托克600石油天然气指数下跌0.2%,斯托克600食品饮料指数下跌0.1%。 欧洲房地产投资信托指数(REITE)上涨0.4%。 各国股市指数方面,德国DAX指数持稳,伦敦富时100指数上涨0.1%,巴黎CAC 40指数下跌0.6%,西班牙IBEX 35指数下跌0.5%。 德国10年期国债收益率小幅走高,接近3.03%。 北海布伦特原油近月期货价格上涨1.4%,至每桶96.12美元。 欧洲斯托克50指数波动率上涨2.1%,至21.07,表明未来30天欧洲股市波动性将高于平均水平,这是一个负面信号。波动率高于20表明市场波动性将加剧,而低于20则表明市场交投较为平静。

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