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波斯灣油價前景黯淡,歐洲股市午間交易疲軟

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-- 週一午盤,歐洲股市小幅走低,油價在伊朗新聞機構未經證實的報道稱兩枚導彈擊中霍爾木茲海峽的一艘美國軍艦後再次小幅上漲。 石油股領漲歐洲大陸市場,銀行、食品和房地產股則表現落後。 北海布蘭特原油期貨近月合約午盤上漲3.5%,至每桶111.91美元。 投資人也關注著隔夜亞洲股市收盤走高而表現平淡的華爾街股指期貨,其中台灣加權指數(TWSE)領漲4.6%,首爾綜合指數(KOSPI)上漲5.1%。 經濟方面,標普全球報告稱,歐元區4月製造業採購經理人指數(PMI)為52.2,高於3月的51.6,突破了50榮枯分界線。 泛歐斯托克600指數午盤下跌0.5%。 史托克600科技指數下跌0.2%,史托克600銀行指數下跌1.2%。 斯托克600石油天然氣指數上漲0.2%,而史托克600食品飲料指數下跌0.7%。 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指數持穩,倫敦富時100指數下跌0.1%,巴黎CAC 40指數下跌1%,西班牙IBEX 35指數下跌1.5%。 德國10年期公債殖利率走高,接近3.07%。 歐洲斯托克50指數波動率上漲4.8%至23.71,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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