-- 周四,亚洲股市普遍下跌,交易员们权衡着不断上涨的原油价格,并等待波斯湾冲突局势的明朗化。 香港、上海和东京股市收跌,其他大多数地区性交易所也同样如此。 布伦特原油价格在交易时段继续攀升,触及每桶103.80美元,上涨1.9%。 在日本,日经225指数高开,但随后涨势减弱,尽管科技股和人工智能相关股票持续走强,最终仍收跌0.7%。 日经225指数下跌445.63点,收于59,140.23点,下跌股票数量超过上涨股票数量,比例为173比48。 领涨的是半导体制造商Socionext,上涨7.1%,而相机制造商尼康下跌10.4%。 经济新闻方面,标普全球报告称,日本4月份综合采购经理人指数(PMI)初值为52.4,低于3月份的53.0,但仍高于50荣枯分界线。该指数综合反映了日本制造业和服务业的状况。 香港恒生指数开盘走低,未能反弹,最终收跌1%,交易员密切关注霍尔木兹海峡仍处于关闭状态的最新消息。 恒生指数下跌248.04点,收于25,915.20点,下跌个股数量超过上涨个股,比例为63比25。恒生科技指数下跌2%,内地地产指数下跌0.6%。 中国石油领涨,上涨4.2%,而信达生物下跌5.9%。 中国大陆方面,上证综指下跌0.3%,收于4049.25点。 其他地区交易所方面,韩国KOSPI指数上涨0.9%;台湾加权指数(TWSE)下跌0.4%;澳大利亚ASX 200指数下跌0.6%;新加坡海峡时报指数下跌1.2%;泰国SET指数下跌1.2%。孟买Sensex指数在尾盘交易中下跌1.2%。 MSCI亚太地区所有国家指数当日下跌0.6%。 另据标普全球报告,印度4月份经季节性调整的综合采购经理人指数(PMI)初值为58.3,高于3月份的57.0。该指数综合反映了印度的制造业和服务业产出情况。
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