-- 周三午盘,欧洲股市横盘整理,此前美国总统特朗普周二单方面延长了波斯湾停火协议,但霍尔木兹海峡仍对油轮航行关闭。 房地产、石油和科技股领涨欧洲大陆股市,银行股表现落后。 北海布伦特原油近月期货上涨1%,至每桶99.49美元。 由于隔夜亚洲股市收盘震荡,投资者也关注着上涨的华尔街股指期货。 经济方面,欧盟委员会周三提出了“加速欧盟”(AccelerateEU)计划,旨在应对霍尔木兹海峡关闭引发的化石燃料短缺问题。然而,欧盟委员会表示,真正的能源安全将来自向国内清洁能源的转型。 泛欧斯托克600指数午盘走势稳定。 欧洲斯托克600科技指数上涨1%,而银行指数下跌0.9%。 欧洲斯托克600石油天然气指数上涨1.5%,食品饮料指数小幅上涨0.1%。 欧洲房地产投资信托指数(REITE)上涨0.8%。 各国股市方面,德国DAX指数下跌0.2%,伦敦富时100指数持稳。巴黎CAC 40指数下跌0.4%,西班牙IBEX 35指数下跌0.4%。 德国10年期国债收益率稳定在3%左右。 欧洲斯托克50指数波动率下跌4.4%至23.10,但仍表明未来30天欧洲股市波动性高于平均水平,这是一个负面信号。该指数高于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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