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波斯湾局势不明朗令欧洲股市午间交易承压

-- 周四午盘,欧洲股市小幅走低,交易员们权衡着波斯湾冲突、油价上涨以及霍尔木兹海峡开放前景不明朗等因素。 石油股领涨欧洲大陆市场,而银行股和科技股则表现落后。 投资者还关注着下跌的华尔街股指期货以及隔夜亚洲交易所收盘走低的情况。 另据土耳其阿纳多卢通讯社援引伊斯兰堡官员的消息报道,美国和伊朗将于周末在巴基斯坦举行直接谈判。 泛欧斯托克600指数午盘下跌0.7%。 斯托克600科技指数下跌1.7%,斯托克600银行指数下跌0.6%。 斯托克600石油天然气指数上涨1.2%,而斯托克600食品饮料指数下跌0.8%。欧洲房地产投资信托指数(REITE)下跌0.7%。 各国股市指数方面,德国DAX指数下跌1.3%,伦敦富时100指数下跌0.4%,巴黎CAC 40指数下跌0.9%,西班牙IBEX 35指数下跌0.8%。 德国10年期国债收益率走高,接近2.98%。 北海布伦特原油期货近月合约上涨4.1%,至每桶98.63美元。 欧洲斯托克50指数波动率上涨1.2%,至25.01,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则表明市场较为平静。

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Petro Rabigh Emerges From Loss in Q1; Revenue Grows

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Research Alert: CFRA Keeps Buy Opinion On Shares Of The Hartford Insurance Group, Inc.

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