-- 周五午盘,欧洲股市小幅走低,交易员们仍在权衡霍尔木兹海峡仍处于关闭状态、波斯湾局势动荡以及全球原油价格上涨等因素。 科技股和能源股领涨欧洲大陆市场,而银行股则表现落后。 泛欧斯托克600指数午盘下跌0.3%。 北海布伦特原油期货近月合约上涨0.1%,至每桶105.15美元。 投资者也关注了涨跌互现的华尔街股指期货,以及隔夜亚洲交易所震荡走高的收盘价。 经济方面,德国经济研究所(Ifo)报告称,德国4月份商业景气指数从3月份的86.3降至84.4,创下自2020年5月新冠疫情爆发以来的最低水平。 欧洲斯托克600科技指数上涨1.4%,而银行指数下跌1.6%。 欧洲斯托克600石油天然气指数上涨1.2%,食品饮料指数上涨1.6%。 欧洲房地产投资信托指数(REITE)下跌0.5%。 各国股市指数方面,德国DAX指数上涨0.3%,伦敦富时100指数下跌0.2%,巴黎CAC 40指数下跌0.3%,西班牙IBEX 35指数下跌0.7%。 德国10年期国债收益率走高,接近3.01%。 欧洲斯托克50指数波动率上涨2.1%至23.78,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。该指数高于20预示着市场波动将加剧,而低于20则表明市场交投较为平静。
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