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FINWIRES

波斯灣前景展望令歐洲股市午間收窄

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-- 週四午盤,歐洲股市小幅走低,交易員們正在解讀德黑蘭和華盛頓就霍爾木茲海峽可能通過談判開放以及隨後結束波斯灣敵對行動所發出的模棱兩可的信息。 銀行股和科技股在歐洲大陸交易大廳小幅走高,房地產股和石油股則表現落後。 北海布蘭特原油近月期貨下跌3.2%,至每桶98.02美元。 投資人也關注華爾街期貨的疲軟走勢,因為隔夜亞洲交易所股市大幅收高,首爾、台灣和東京的股指都創下新高。 經濟新聞方面,歐盟統計局報告稱,歐元區3月零售銷售額經季節性調整後較上季下降0.1%,但季增0.3%。歐元區3月零售銷售額較去年同期成長1.2%,歐盟整體零售銷售額較去年同期成長1.9%。 泛歐斯托克600指數午盤下跌0.3%。 史托克600科技指數上漲0.2%,史托克600銀行指數上漲0.1%。 史托克600石油天然氣指數下跌1.4%,史托克600食品飲料指數下跌1.3%。 歐洲房地產投資信託指數(REITE)下跌0.7%。 各國股市指數方面,德國DAX指數下跌0.2%,倫敦富時100指數下跌0.5%,巴黎CAC 40指數下跌0.2%,西班牙IBEX 35指數上漲0.1%。 德國10年期公債殖利率走低,接近2.98%。 歐洲斯托克50指數波動率上漲0.7%至21.28,顯示未來30天歐洲股市波動性將高於平均水平,這是一個負面訊號。該指數高於20預示市場波動將加劇,而低於20則表示市場交投較為平靜。

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