FINWIRES · TerminalLIVE
FINWIRES

Exchange-Traded Funds Higher, Equity Futures Mixed Pre-Bell Wednesday Ahead of Fed Policy Decision

作者

-- The broad market exchange-traded fund SPDR S&P 500 ETF Trust (SPY) was up 0.02% and the actively traded Invesco QQQ Trust (QQQ) was 0.3% higher in Wednesday's premarket activity, ahead of the Federal Open Market Committee's policy decision.

US stock futures were mixed, with S&P 500 Index futures up 0.01%, Dow Jones Industrial Average futures retreating 0.03%, and Nasdaq futures gaining 0.3% before the start of regular trading.

The US Federal Reserve's Federal Open Market Committee will make its latest policy announcement at 2 pm ET, followed by a press conference by Fed Chair Jerome Powell.

Mortgage applications declined in the week ending April 24 after a large increase in the previous week, as mortgage rates rose slightly, according to the Mortgage Bankers Association Wednesday.

US housing starts rose to an annual pace of 1.502 million in March, topping forecasts of 1.38 million and increasing from 1.356 million previously.

In March, US building permits fell to an annual rate of 1.372 million, missing expectations of 1.39 million and declining from 1.538 million in the prior reading.

Durable goods orders rose 0.8% in March, beating expectations for a 0.5% increase and marking a rebound from the previous 1.2% drop.

Weekly petroleum stocks data are due to be released at 10:30 am ET, followed by the Atlanta Federal Reserve Survey of Business Uncertainty for April at 11 am ET.

In premarket activity, bitcoin was up by 1.7%. Among cryptocurrency ETFs, the cryptocurrency fund ProShares Bitcoin Strategy ETF (BITO) was 1.8% higher, Ether ETF (EETH) advanced 1.6%, and Bitcoin & Ether Market Cap Weight ETF (BETH) retreated by 0.01%.

Power Play:

Technology

The State Street Technology Select Sector SPDR ETF (XLK) advanced by 0.7%, and the iShares US Technology ETF (IYW) was 0.5% higher, while the iShares Expanded Tech Sector ETF (IGM) was up 0.8%. Among semiconductor ETFs, the State Street SPDR S&P Semiconductor ETF (XSD) increased by 1.6%, while the iShares Semiconductor ETF (SOXX) rose by 1.8%.

United Microelectronics (UMC) shares were up more than 8% in Wednesday's premarket activity after the company reported Q1 earnings and revenue.

Winners and Losers:

Financial

The State Street Financial Select Sector SPDR ETF (XLF) advanced 0.2%. Direxion Daily Financial Bull 3X Shares (FAS) was up 0.7%, while its bearish counterpart, Direxion Daily Financial Bear 3X Shares (FAZ), was 0.6% lower.

UBS Group (UBS) shares were up more than 5% pre-bell after the company reported higher Q1 earnings and revenue.

Industrial

The State Street Industrial Select Sector SPDR ETF (XLI) advanced 0.3%, while the Vanguard Industrials Index Fund (VIS) was flat and the iShares US Industrials ETF (IYJ) was down 1.1%.

AerCap Holdings (AER) stock was up more than 5% before the opening bell after the company reported higher Q1 revenue.

Health Care

The State Street Health Care Select Sector SPDR ETF (XLV) retreated by 0.4%, the Vanguard Health Care Index Fund (VHT) lost 0.3%, while the iShares US Healthcare ETF (IYH) was inactive. The iShares Biotechnology ETF (IBB) was flat.

GSK (GSK) stock was down more than 4% premarket even after the company reported higher Q1 core earnings and revenue.

Consumer

The State Street Consumer Staples Select Sector SPDR ETF (XLP) was down 0.1%, and the Vanguard Consumer Staples Index Fund ETF Shares (VDC) retreated by 0.1%. The iShares US Consumer Staples ETF (IYK) advanced 0.5%. The State Street Consumer Discretionary Select Sector SPDR ETF (XLY) lost 0.4%. The VanEck Retail ETF (RTH) gained 0.1%, while the State Street SPDR S&P Retail ETF (XRT) was 0.2% lower.

Yum China (YUMC) shares were up more than 3% pre-bell after the company reported Q1 adjusted earnings and revenue.

Energy

The iShares US Energy ETF (IYE) was up 0.9%, while the State Street Energy Select Sector SPDR ETF (XLE) was up by 1.2%.

Phillips 66 (PSX) stock was up more than 1% before the opening bell after the company reported it swung to Q1 adjusted earnings.

Commodities

Front-month US West Texas Intermediate crude oil rose by 3.3% to $103.22 per barrel on the New York Mercantile Exchange. Natural gas retreated by 1.3% to $2.66 per 1 million British Thermal Units. The United States Oil Fund (USO) increased by 3.4%, while the United States Natural Gas Fund (UNG) was 1.3% lower.

Gold futures for May were down by 0.7% at $4,576.40 an ounce on the Comex. Silver futures retreated by 0.9% to $73.05 an ounce. SPDR Gold Shares (GLD) was 0.6% lower, and the iShares Silver Trust (SLV) fell by 0.6%.

相關文章

Sectors

產業動態:消費性股票週三下午下跌

週三下午,消費性股票交易走低,道富消費必需品精選行業SPDR ETF (XLP)下跌0.1%,道富非必需消費品精選行業SPDR ETF (XLY)下跌0.3%。 在公司新聞方面,星巴克(SBUX)第二財季業績超出華爾街預期,這家咖啡巨頭也因其扭虧為盈的勢頭而上調了全年業績預期。其股價上漲超過8%。 Wingstop (WING)下調了2026年美國國內同店銷售額預期,並公佈了低於預期的第一季營收。其股價下跌4.4%。 Etsy (ETSY)第一季營收成長超過華爾街預期,幫助這家線上市場轉虧為盈。 Etsy股價上漲8.6%。

$ETSY$SBUX$WING
Sectors

板塊動態:醫療保健類股午後交易走軟

週三下午,醫療保健類股下跌,紐約證券交易所醫療保健指數下跌0.8%,道富醫療保健精選行業SPDR ETF (XLV)下跌0.9%。 iShares生物科技ETF (IBB)下跌2%。 公司新聞方面,艾伯維(ABBV)週三上調了全年業績預期,此前這家生物製藥公司公佈的第一季度業績好於預期,主要得益於其免疫藥物Skyrizi和Rinvoq的強勁營收增長。該公司股價上漲3.4%。 根據彭博社報道,阿斯特捷利康(AZN)將在英國投資3億英鎊(約4.049億美元),重點投資其位於劍橋和麥克爾斯菲爾德的工廠,旨在提振英國的生命科學產業。阿斯特捷利康股價下跌1.2%。 KalVista Pharmaceuticals (KALV) 和 Chiesi Group 週三宣布,雙方已簽署協議,Chiesi 將以每股 27 美元的現金收購 KalVista,總價約 19 億美元。 KalVista 股價應聲飆漲近 39%。

$ABBV$AZN$KALV
Oil & Energy

歐洲、中東和非洲地區石油市場動態:美伊僵局加劇供應擔憂,原油價格上漲

在週三盤後交易中,歐洲、中東和非洲地區原油期貨價格上漲,原因是霍爾木茲海峽的雙重封鎖以及川普總統對伊朗日益強硬的言論加劇了人們對全球能源供應長期衝擊的擔憂。 布蘭特原油期貨上漲7.13%,至每桶119.19美元;穆爾班原油期貨上漲2.44%,至每桶109.31美元。 盛寶銀行策略師週三在一份報告中指出:“川普總統已指示助手準備對伊朗實施長期封鎖,以高風險的方式打擊伊朗政權的財政,迫使伊朗放棄其核計劃。” 據報道,川普表示,他將維持對伊朗的海上封鎖,直到德黑蘭同意達成核協議。他也指出,封鎖比轟炸更有效。美國總統週三威脅伊朗,稱該國「最好盡快醒悟」。 「伊朗根本就沒辦法達成協議。他們不知道如何簽署無核協議。他們最好趕緊醒悟過來!」川普在Truth Social上發文說。 旨在結束中東衝突的第二輪美伊會談近日陷入僵局,雙方在談判中均拒絕讓步,德黑蘭方面試圖將霍爾木茲海峽問題與其核計劃分開。 三菱日聯金融集團(MUFG)研究分析師金秀珍(Soojin Kim)表示,由於市場關注美伊和平談判陷入僵局以及霍爾木茲海峽持續近乎關閉,原油價格依然居高不下。 有報告指出伊朗原油儲存空間即將耗盡,美國對伊朗的海上封鎖似乎正在給伊朗施加壓力,這可能會加速伊朗的減產。 美國財政部長貝森特表示,伊朗的主要石油出口碼頭哈爾克島的儲存能力已接近飽和,這可能迫使伊朗政府減少原油產量,並對伊朗的石油基礎設施造成損害。 金表示:“伊朗也面臨日益嚴峻的存儲壓力,這可能迫使其進一步減產,與此同時,美國正持續收緊對與伊朗石油相關的中國煉油企業的製裁。” 金還表示,持續不斷的中東衝突已經引發了更廣泛的區域性變化,包括阿聯酋決定下個月退出歐佩克。 荷蘭國際集團(ING)的策略師表示:「阿聯酋選擇在這個時候退出歐佩克是經過深思熟慮的。」他們補充說,在供應嚴重中斷的時期宣布退出,可以最大限度地減少對市場的影響。 在供應方面,美國已經開始出現供應緊張的跡象。美國能源資訊署(EIA)的最新數據顯示,截至4月24日當週,美國原油庫存下降620萬桶,至4.595億桶。