FINWIRES · TerminalLIVE
FINWIRES

Sector Update: Energy Stocks Advance Monday Afternoon

-- Energy stocks were higher Monday afternoon, with the NYSE Energy Sector Index rising 0.3% and the State Street Energy Select Sector SPDR ETF (XLE) fractionally higher.

The Philadelphia Oil Service Sector Index was climbing 1.4%, and the Dow Jones US Utilities Index was falling 1.2%.

In sector news, the US military blockade on all traffic entering and leaving Iranian ports started at 10 am ET Monday, after weekend peace talks in Pakistan faltered, CNN reported. "If any of these ships [that the president refers to as Iran's 'fast attack ships'] come anywhere close to our BLOCKADE, they will be immediately ELIMINATED," Trump said on a social media post.

Separately, the Organization of the Petroleum Exporting Countries on Monday lowered its Q2 oil demand forecast due to the Middle East conflict, but maintained its full-year estimates amid expectations for a rebound in H2. The cartel sees global oil consumption at 105.1 million barrels a day in the ongoing three-month period, it said in its latest monthly market report. Last month, the organization projected demand at 105.6 million barrels per day in Q2.

Front-month West Texas Intermediate crude oil was rising 3.2% to $99.72 a barrel, and the global benchmark Brent crude contract was advancing 5% to $99.93 a barrel. Henry Hub natural gas futures shed 0.6% to $2.63 per 1 million BTU.

In corporate news, Chevron (CVX) and Shell (SHEL) are set to sign agreements involving oil and gas areas in Venezuela, Reuters reported. Chevron shares rose 1.2%, and Shell added 0.4%.

GFL Environmental (GFL) agreed to acquire Secure Waste Infrastructure in a 6.4 billion-Canadian-dollar ($4.63 billion) deal that is expected to boost its waste management operations in Western Canada. GFL shares fell nearly 8%.

Equinor (EQNR) shares added 1.3% after it said Monday its board has decided to propose a share capital reduction to shareholders through the cancellation of own shares and redemption of shares held by the Norwegian state following its 2025 buyback program.

相關文章

Asia

《現代牙科》雜誌預測,2025年獲利將大幅成長。

根據週四提交給香港交易所的文件,摩登牙科(港交所代碼:3600)公佈,2025年歸屬於股東的利潤為5.97億港元,高於上年的4.08億港元。 這家假牙製造商的股價在周五早盤交易中下跌近2%。 每股收益為0.637港元,高於2024年的0.432港元。 營收年增11%,從上年的33.6億港元增至37.4億港元。 董事會建議派發末期股利每股0.15港元,將於6月30日支付給截至6月10日登記在冊的股東。

$HKG:3600
Asia

Kimou Environmental公司預計2025年獲利將成長10%。

根據週四提交給香港交易所的文件,金茂環境(HKG:6805)公佈,2025年歸屬於股東權益的淨利潤為1.348億元人民幣,較上年同期的1.226億元人民幣增長9.9%。 該公司股價在周五早盤交易中上漲超過2%。 每股收益為0.12元人民幣,高於2024年的0.11元。 營收年增21%,從上年的13.9億元增加至16.8億元。

$HKG:6805
Asia

廈門鎢業第一季獲利成長189%;股價下跌3%

廈門鎢業(SHA:600549)公佈第一季歸屬於母公司股東的淨利為11.1億元人民幣,較上年同期的3.828億元人民幣成長189%。 根據週五提交給上海證券交易所的文件,每股收益從0.2411元人民幣增至0.6972元。 營業收入年增87%,從84.2億元增至157億元。 這家碳化鎢製造商的股價在最近的交易中下跌了3%。

$SHA:600549