-- 美国基准股指盘中走低,而由于中东冲突持续存在不确定性,油价大幅反弹。 周一午盘过后,纳斯达克综合指数下跌0.5%,至24340.9点;标普500指数下跌0.4%,至7100.7点。两大股指在前一交易日均创下历史新高。道琼斯工业平均指数周一盘中下跌0.2%,至49374.1点。 各板块中,通信服务板块跌幅最大,能源板块领涨。 西德克萨斯中质原油上涨6%,至每桶88.90美元;布伦特原油上涨5.5%,至每桶95.32美元。 上周五,由于伊朗宣布霍尔木兹海峡开放,油价暴跌,而霍尔木兹海峡正是美国的关键需求。然而,德黑兰于周六重新控制了该海峡。双方都指责对方违反了即将到期的为期两周的停火协议。 美国总统唐纳德·特朗普在Truth Social上发帖称,美国海军周日扣押了一艘试图突破海上封锁的伊朗籍船只。 荷兰国际集团(ING Bank)在一份报告中指出:“中东局势再次剧烈波动,看似缓和的局面迅速演变为局势再度升级。” 美国将派遣谈判代表前往巴基斯坦进行第二轮和平谈判,但伊朗表示不打算参与谈判。 据美国有线电视新闻网(CNN)报道,特朗普表示,与伊朗的停火协议将于“华盛顿时间周三晚间”到期。特朗普还表示,如果双方在此之前无法达成协议,他“极不可能”延长停火协议。 美国国债收益率盘中走高,10年期国债收益率上涨1个基点至4.25%,2年期国债收益率上涨2.1个基点至3.72%。 公司新闻方面,QXO(QXO)和TopBuild(BLD)周日宣布,已同意以现金加股票的方式收购后者,交易金额约为170亿美元。QXO股价周一盘中下跌5.8%,而TopBuild股价飙升18%。 Sila Realty Trust(SILA)同意被Blue Owl Capital(OWL)旗下房地产部门的某些关联公司收购并私有化,交易金额约为24亿美元,全部以现金支付。Sila Realty股价上涨19%,而Blue Owl股价上涨0.5%。 奥本海默资产管理公司在一份报告中指出,目前已有约46家标普500指数成分股公司公布了本季度的最新财报,其盈利和销售额分别同比增长约32%和13%。该券商援引FactSet的数据称,在财报季开始前,FactSet曾预测这些公司的盈利将同比增长12.6%。 奥本海默资产管理公司首席投资策略师约翰·斯托尔茨弗斯表示:“现在对第一季度业绩下结论还为时过早,但本季度似乎开局良好。” 据该券商称,约有94家标普500指数成分股公司计划在本周发布季度财报,其中包括特斯拉(TSLA)、英特尔(INTC)、IBM(IBM)、德州仪器(TXN)、菲利普莫里斯国际(PM)、宝洁(PG)、通用电气航空航天(GE)、联合健康集团(UNH)和RTX(RTX)。 黄金价格下跌 1%,至每盎司 4,829.40 美元;白银价格下跌 2.1%,至每盎司 80.16 美元。
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