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那斯達克指數和標普500指數創下新高;油價上漲

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-- 週一,儘管美伊和平談判陷入僵局,油價走高,納斯達克綜合指數和標普500指數仍創下新的收盤紀錄高點。 那斯達克指數上漲0.2%,收在24,887.1點;標普500指數上漲0.1%,收在7,173.9點,連續第二個交易日創下歷史新高。道瓊工業指數下跌0.1%,收在49,167.8點。多數板塊下跌,其中必需消費品板塊領跌,通訊服務板塊領漲。 布蘭特原油價格上漲2.5%,至每桶107.95美元;西德州中質原油價格上漲1.8%,至每桶96.08美元。 伊朗外長賽義德·阿巴斯·阿拉格奇週末兩次訪問巴基斯坦,而美國總統唐納德·川普取消了先前宣布的美國官員訪問伊斯蘭堡的行程。 根據Axios報道,伊朗已提交一份關於重新開放霍爾木茲海峽的新方案,其中包括延後核談判。該報道引述了一位美國官員和另外兩位消息人士的話。 荷蘭國際集團(ING Bank)週一在一份報告中指出:“和平談判缺乏進展意味著市場每天都在收緊,迫使油價在高位重新定價。” 根據美國有線電視新聞網(CNN)報道,川普原定於週一與國家安全高級官員會面,討論伊朗的新方案。 Tigress Financial Intelligence首席市場策略師伊凡·費恩塞斯(Ivan Feinseth)在一份發給的報告中表示:「受人工智慧預測的盈利超預期和宏觀經濟數據堅挺的推動,美國股市在4月最後一周保持謹慎樂觀的勢頭。然而,在周三聯邦公開會議委員會(FOMC)預計市場結束前,市場波動性加劇, 麥格理集團首席經濟學家大衛·多伊爾表示,由於聯準會公開市場委員會(FOMC)的決定不太可能出人意料,市場預計將關注政策聲明以及主席傑羅姆·鮑威爾的會後演講。 他在一份發給的電子郵件報告中表示:“鑑於高油價已持續近兩個月,未來的政策指引可能會有所調整。這與3月份政策調整幅度有限的情況形成鮮明對比。我們仍然認為,下一步的政策舉措很可能是加息,最有可能的時間是在2027年上半年。” 美國公債殖利率走高,10年期公債殖利率上漲3.1個基點至4.34%,2年期公債殖利率上漲1.5個基點至3.81%。 奧本海默資產管理公司週一公佈的數據顯示,標普500指數成分股公司的季度獲利成長較一週前有所放緩,但仍遠超預期。 奧本海默資產管理公司首席投資策略師約翰·斯托爾茨弗斯表示:「本季開局強勁。」他指出,在已公佈季度業績的公司中,79%的盈利增長超過了分析師的預期。 科技巨頭Alphabet(GOOG,GOOGL)、蘋果(AAPL)、微軟(MSFT)、亞馬遜(AMZN)和Meta Platforms(META)預計將於本週稍後發布最新財報。 在公司方面,威瑞森通訊(VZ)週一上調了全年盈利預期,並公佈的第一季淨利潤高於市場預期。同時,這家電信巨頭在第一季意外增加了後付費電話用戶。該公司股價上漲1.6%,成為道瓊指數中漲幅第二大的股票。 達美樂披薩 (DPZ) 股價暴跌 8.8%,成為標普 500 指數中跌幅最大的股票。該公司週一公佈的第一季業績弱於預期,其執行長表示,消費者的不確定性和通貨膨脹抑制了季度末的需求。 歐加農 (OGN) 股價飆升近 17%,此前這家醫療保健公司同意被印度製藥公司太陽製藥 (Sun Pharmaceutical Industries) 以全現金方式收購,企業價值約為 117.5 億美元。 黃金價格最新下跌 1%,至每盎司 4,694.80 美元;白銀價格下跌 1.2%,至每盎司 75.47 美元。

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