FINWIRES · TerminalLIVE
FINWIRES

US Equity Indexes Drop as Growth Sectors Dampen Sentiment, Hormuz Deadlock Continues

-- US equity indexes fell as technology and consumer discretionary stocks weighed on investor sentiment, which remains frail as the standoff over the Strait of Hormuz, the choke-point for about a fifth of global crude oil flows, persists.

The Nasdaq Composite fell 0.9% to 24,438.50, with the Dow Jones Industrial Average down 0.4% to 49,310.32, and the S&P 500 lower by 0.4% to 7,108.40 on Thursday. Utilities and industrials led the gainers.

Shares of IBM (IBM) slid 8.3%, among the steepest decliners on the Dow, following Q1 results. Software growth decelerated to 8% in constant currency from 11% in Q4 and 9% in Q3, a "potential red flag for the bears," CFRA said in a note.

Tesla (TSLA) slid 3.6% after the firm issued higher-than-expected 2026 capital expenditure guidance. TechCrunch reported the group is planning to spend $25 billion, compared with $8.5 billion in 2025.

ServiceNow (NOW) reported strong Q1 results, but softer organic revenue trends and a slightly weaker margin outlook weighed on the overall forecast, Oppenheimer said in a note. Shares of ServiceNow sank 18%, the worst performer on the S&P 500.

Texas Instruments (TXN) soared 19%, among the top outperformers on the S&P 500 and the Nasdaq, after the company posted higher Q1 earnings and sales and set out Q2 guidance above consensus.

In geopolitical developments, President Donald Trump ordered the US Navy to "shoot and kill" any boat that is laying mines in Hormuz, according to a Truth Social post on Thursday. On the same day, Iran flaunted its tightened grip over Hormuz with a video of commandos storming a cargo ship named MSC Francesca, Reuters reported.

The United States and Iran remain at an impasse, with Tehran refusing to negotiate a peace deal as long as the US Navy continues to blockade its ports and Washington refuses to lift the siege. Trump said the pressure is on Iran to reach a deal ending the war, claiming he has "all the time in the world," CNN reported.

Iran "had made the lifting of the US blockade a precondition for the resumption of negotiations," Helima Croft, head of global commodity strategy at RBC Capital Markets, said in a note. "President Trump, for his part, has indicated that the ceasefire will remain in place for now, leaving the conflict in a no airstrike, minimal movement of ships, unsustainable equilibrium."

West Texas Intermediate crude oil futures jumped 3.6% to $96.51, and Brent crude futures advanced 3.7% to $105.58.

In precious metals, gold futures fell 1.1% to $4,703.3, and silver futures dropped 3.5% to $75.27 as higher crude oil prices tend to raise inflation concerns. Most US Treasury yields rose, reflecting a similar dynamic in the fixed-income complex in addition to the macroeconomic data. The 10-year yield jumped 3.1 basis points to 4.33%, and the two-year rate climbed 3.8 basis points to 3.83%.

In US economic news, initial jobless claims rose to 214,000 in the week ended April 18 from an upwardly revised 208,000, compared with the 210,000 print expected in a Bloomberg-compiled survey.

Meanwhile, the April flash reading of manufacturing conditions from S&P Global improved to a 47-month high of 54.0 from 52.3 in March, compared with the 52.5 anticipated in a Bloomberg-compiled poll.

相關文章

Asia

香港監管機構與普華永道就恆大醜聞達成10億港元賠償協議

香港證券及期貨事務監察委員會週四發布聲明稱,已與普華永道香港會計師事務所達成協議,根據該協議,普華永道將撥出10億港元,用於補償中國恆大集團(港交所代碼:3333)的合資格少數股東。 監管機構發現恆大集團在2019年和2020年嚴重虛報收入和利潤,而普華永道未能達到審計準則,包括未能保持獨立性及核實關鍵財務資訊。 該協議在不承認責任的情況下解決了此事,如果協議條款得到履行,證監會將不再對普華永道採取進一步行動。 監管機構表示,補償金將透過稍後公佈的獨立程序分配給合資格股東。

$^HSI$HKG:3333
Asia

上海銀行第一季獲利成長1%,營收成長4%

根據上海證券交易所週五發布的公告,上海銀行(SHA:601229)第一季歸屬於股東的淨利潤年增0.7%,從62.9億元人民幣增至63.3億元人民幣。 每股盈餘與去年同期持平,為0.39元。 營業收入較去年同期成長4.3%,從136億元增加到142億元。

$SHA:601229
Asia

Qoria公佈3月份季度年度經常性收入近800萬澳元;股價跌至兩年低點

根據週五提交給澳洲證券交易所的文件,Qoria(ASX:QOR)公佈,截至3月份的季度,其年度經常性收入(ARR)為760萬澳元,年增49%。 該公司表示,淨新增ARR為600萬澳元,較去年同期成長62%,使最終ARR達到1.51億澳元。總訂閱用戶數達81萬,高於去年同期的63.9萬。 Qoria重申了其2026財年的業績預期,即營收超過1.45億澳元,ARR成長超過20%,調整後的息稅折舊攤銷前利潤(EBITDA)利潤率約為20%。 Qoria和Aura繼續以今年ARR成長超過20%為目標,並預計集團將在交易完成至12月31日期間實現自由現金流為正。 該公司股價在上週五的交易中下跌了18%,早盤一度觸及2024年2月以來的最低點。

$ASX:QOR