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FINWIRES

米イラン協議の危機を受け、シンガポール株は下落。ホンリョン・アジア株は7%上昇。

-- シンガポール株式市場は水曜日、地域全体のまちまちの動向を反映し、下落して取引を終えた。イスラマバードで行われている米イラン協議は、イランが参加を正式に表明していないため、開催が危ぶまれている。 シンガポール証券取引所の主要指標であるストレーツ・タイムズ指数(STI)は、終日4,988.45から5,014.10の間で推移した。終値は5,002.72で、火曜日の終値から12.24ポイント(0.2%)下落した。 ドナルド・トランプ米大統領は、パキスタンの要請を受け、イランに提案提出のための猶予を与えるため、イランとの停戦を延長した。 企業関連では、ホンリョン・アジア(SGX:H22)の株価が終値で7%以上急騰した。これは、同社がヨンタイ・ロングを9,070万シンガポールドルで買収したことが要因である。 シェフィールド・グリーン(SGX:SGR)は、傘下の研修会社であるウィンド・アジア・トレーニングとスティアー・トレーニング・サービスを「トレイナジー」に社名変更したことを受け、終値は5%以上下落した。 一方、サンリ・エンバイロメンタル(SGX:1E3)の株価は終値で2%以上下落した。同社はADDX取引所で6ヶ月満期の第2種商業債券を発行し、300万シンガポールドルから500万シンガポールドルの資金調達を目指している。

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