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受美伊可能休戰的影響,交易所交易基金和股指期貨週三盤前走高

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-- 受美伊可能達成停火協議的消息提振,標普500指數ETF(SPDR S&P 500 ETF Trust,SPY)上漲1%,景順QQQ ETF(QQQ)上漲1.7%。 美國股指期貨漲跌互現,標普500指數期貨上漲1%,道瓊工業指數期貨下跌1.2%,那斯達克指數期貨上漲1.6%。 美國抵押貸款銀行家協會週三稍早公佈的數據顯示,截至5月1日當週,受抵押貸款利率上升的影響,美國抵押貸款申請量有所下降。 ADP公佈的4月私部門就業人數為10.9萬人,低於彭博社截至美國東部時間上午7:20匯總的預期值12萬人。 3月各州失業率數據將於美東時間上午10點公佈,隨後是美東時間上午10:30公佈的每周石油股數據。 芝加哥聯邦儲備銀行行長奧斯坦古爾斯比將於週三發表演說。 盤前交易中,比特幣下跌1.3%。加密貨幣ETF方面,ProShares比特幣策略ETF (BITO)上漲1.3%,以太幣ETF (EETH)上漲2%,而比特幣和以太幣市值加權ETF (BETH)下跌超過14%。 重點關注: 金融板塊 道富金融精選產業SPDR ETF (XLF)上漲0.6%。 Direxion每日3倍做多金融ETF (FAS)上漲2%,而其做空對應基金Direxion每日3倍做空金融ETF (FAZ)下跌1.9%。 Hut 8 (HUT) 股價在盤前交易中上漲超過 24%,此前該公司公佈了高於預期的第一季營收。 漲跌幅榜: 科技板塊 道富科技精選產業 SPDR ETF (XLK) 上漲 2.1%,iShares 美國科技 ETF (IYW) 上漲 2.4%,iShares 擴展科技業 ETF (IGM) 上漲 2.3%。半導體 ETF 中,道富 SPDR 標普半導體 ETF (XSD) 上漲 3.6%,iShares 半導體 ETF (SOXX) 上漲 4.3%。 AMD (Advanced Micro Devices) 股價在盤前交易中上漲超過 18%,此前該公司隔夜公佈了強於預期的第一財季業績,並發布了樂觀的第二財季營收展望。 醫療保健 道富醫療保健精選行業SPDR ETF (XLV)上漲0.1%,先鋒醫療保健指數基金 (VHT)上漲0.3%,而iShares美國醫療保健ETF (IYH)則持平。 iShares生物技術ETF (IBB)上漲1%。 諾和諾德 (NVO) 股價在盤前交易中上漲超過6%,此前該公司公佈的第一季獲利和營收均高於預期,並上調了2026年調整後銷售成長預期。 能源 iShares美國能源ETF (IYE)下跌4.2%,而道富能源精選產業SPDR ETF (XLE)下跌4.8%。 Equinor (EQNR) 股價在周三開盤前下跌超過9%,此前該公司公佈的第一季營收低於預期。 工業板塊 道富工業精選產業SPDR ETF (XLI)上漲1.8%,先鋒工業指數基金 (VIS)上漲2.3%,iShares美國工業ETF (IYJ) 未成交。 Ametek (AME) 股價在開盤前上漲超過2%,此前該公司同意以約50億美元的全現金交易從Indicor手中收購Indicor Instrumentation。 消費板塊 道富消費必需品精選產業SPDR ETF (XLP)下跌0.4%,先鋒消費必需品指數基金ETF (VDC)上漲0.2%。 iShares美國消費必需品ETF (IYK) 持平。道富非必需消費品精選產業SPDR ETF (XLY)上漲1.3%。 VanEck零售ETF (RTH) 交投清淡,而道富SPDR標普零售ETF (XRT) 下跌1.2%。 亞馬遜 (AMZN) 股價上漲超過1%,此前《The Information》報道稱,該公司支持的Anthropic公司將在未來五年內向Alphabet (GOOG, GOOGL)旗下的谷歌雲支付約2000億美元,用於購買運算能力和處理器。 大宗商品 紐約商品交易所近月合約美國西德州中質原油下跌10%,至每桶91.80美元。天然氣下跌2.5%,至每百萬英熱單位2.72美元。美國石油基金 (USO) 下跌9.6%,美國天然氣基金 (UNG) 下跌1.6%。 紐約商品交易所(Comex)5月黃金期貨價格上漲3.1%,至每盎司4,711.90美元。白銀期貨價格上漲5.7%,至每盎司77.79美元。 SPDR黃金信託基金(GLD)上漲3%,iShares白銀信託基金(SLV)上漲5.4%。

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Copper Lake Resources to Launch 20-For-1 Reverse Stock Split

Copper Lake Resources (CPL.V) intends to consolidate its common shares on the basis of 20 pre-consolidation common shares for every one post-consolidation common share effective as of May 8, it said Wednesday.The company currently has 271-million common shares issued and outstanding, and following the consolidation, the company will have about 13.6-million common shares issued and outstanding, prior to rounding for fractional shares.Its outstanding options of 19.5-million and warrants of 15.9-million will also be adjusted on the same basis as the common shares with proportionate adjustments being made to exercise prices.Shares of the company were last seen unchanged at $0.02 on the TSX Venture Exchange.

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Research Alert: L: Q1 Revenue And Eps Miss, Though Results May Not Be Comparable To Consensus

CFRA, an independent research provider, has providedwith the following research alert. Analysts at CFRA have summarized their opinion as follows:L's Q1 revenue of CAD14.4B (+4% Y/Y) missed consensus by CAD90M, while adjusted EPS of CAD0.49 (+9% Y/Y) fell short of CAD0.52 estimates, though we think PC Financial's presentation in discontinued operations may affect comparability. Food retail same-store sales of 2.4% accelerated from Q4's 1.5%, with drug retail posting 4.1% growth. We view the solid same-store sales momentum as encouraging, particularly given internal food inflation remained well below the 4.4% CPI, indicating L's strong value proposition. Management reiterated 2026 guidance for high single-digit EPS growth and CAD2.4B in gross capex. Store expansion accelerated with 13 net openings, including five hard discount locations, aligning with consumer preference shifts toward value formats. Strong FCF of CAD621M (+189% Y/Y) supported aggressive share repurchases of CAD648M. We believe the pending PC Financial divestiture in Q3 2026 will simplify operations and provide additional capital flexibility for core retail growth.

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