Fortune | FORTUNE 2024年10月10日
China markets follow U.S. rise with lift from new Beijing stimulus optimism
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全球股市周四表现震荡,中国股市在刺激措施预期下反弹。上海综合指数上涨1.32%,香港恒生指数上涨2.98%。日本股市受生产者价格指数上涨影响,日经225指数微涨0.26%。欧洲股市在等待美国通胀数据公布前小幅下跌,英国富时100指数下跌0.09%。美国股市在盘前交易中下跌,投资者关注即将公布的9月份消费者价格指数数据,该数据将影响美联储11月会议上是否降息的决定。

🇨🇳 中国股市受刺激措施预期提振:中国大陆股市在经历大幅下跌后,上海综合指数和香港恒生指数分别上涨1.32%和2.98%。这一反弹得益于北京方面宣布财政部长将在周六举行另一次刺激措施吹风会,投资者预期将有更多措施来提振经济。

🇯🇵 日本股市受生产者价格指数上涨影响:日经225指数微涨0.26%,金融板块领涨。但生产者价格指数上涨2.8%,高于经济学家预测的2.3%,一定程度上抑制了市场情绪。

🇪🇺 欧洲股市在等待美国通胀数据公布前小幅下跌:欧洲股市在等待美国通胀数据公布前小幅下跌,英国富时100指数下跌0.09%。不过,葛兰素史克(GSK)股价上涨超过5%,因为该公司宣布达成一项22亿美元的协议,以解决美国法院对该公司的胃药赞泰克(Zantac)与癌症病例有关的数千起诉讼。

🇺🇸 美国股市在盘前交易中下跌,投资者关注即将公布的9月份消费者价格指数数据:美国三大股指在盘前交易中均下跌,投资者关注即将公布的9月份消费者价格指数数据,该数据将影响美联储11月会议上是否降息的决定。

🚢 邮轮股受油价下跌提振:周三,邮轮股上涨,挪威邮轮控股公司涨幅最大,达到10.91%。油价下跌是推动邮轮股上涨的主要原因。

🤖 谷歌股价下跌:美国司法部可能将拆分谷歌的传闻,导致谷歌母公司Alphabet股价下跌1.59%,拖累了科技股为主的纳斯达克指数。

Shares in mainland China rebounded as traders found renewed optimism for more stimulus measures. Traders around the word awaited U.S. inflation data for September—and the implications it will have for rate cuts at the Federal Reserve’s November meeting. S&P 500 Futures: 5,828.75 ⬇️ down 0.21%S&P 500: 5,792.04 ⬆️ up 0.71%Nasdaq Composite: 18,291.62 ⬆️ up 0.60%Dow Jones Industrial Average: 42,512.00 ⬆️ up 1.03% FTSE 100: 8,236.20 ⬇️ down 0.09%SSE Composite: 3,301.93 ⬆️ up 1.32%Nikkei 225: 39,380.89 ⬆️ up 0.26%Bitcoin: $60,753.69 ⬇️ down 2.14%China: Hong Kong and Shanghai rise on stimulus optimism reboundA day after China’s mainland shares took a steep dive, Shanghai’s SSE Composite rose 1.32%, while Hong Kong’s Hang Seng jumped another 2.98% as stimulus optimism returned. Markets were aided by Beijing’s announcement that its finance minister will give another stimulus briefing on Saturday, at which investors expect more measures to boost the economy.Japan: Nikkei posts small rise as producer prices rise more than expected The Nikkei 225 hovered near breakeven, posting a minimal 0.26% rise with the financial sector leading the way, as traders awaited the release of U.S. before the bell in New York. The mood was tempered by producer prices, which increased 2.8%, above the 2.3% expected by economists. Europe: Shares waver ahead of U.S. CPI as GSK soars on court settlementEuropean stocks slid slightly early Thursday as traders there also prepared for the release of U.S inflation data. The U.K.’s FTSE 100 was down a marginal 0.09% in early trading, saved from steeper losses by an over 5% surge in GSK over news that the pharma giant had reached a $2.2 billion deal to settle thousands of claims in U.S. courts that linked cancer cases to its heartburn drug Zantac. The STOXX Europe 600 was down 0.21%.U.S. premarket slips with inflation numbers in focusA day after all three markets posted ample rises—and the Dow and S&P 500 both set fresh records—the main U.S. indexes were all down slightly in premarket trading Thursday. Investors awaited the pre-market release of September CPI inflation numbers, which will have implications for the Fed’s plans to cut interest rates—or not—in November. On Wednesday, cruise lines saw their shares surge as oil prices dropped, with Norwegian Cruise Line Holdings leading the pack with a 10.91% gain. The announcement that the DOJ might push to split up Google weighed on owner Alphabet—which dropped 1.59%—and the tech-heavy Nasdaq.And earnings season continues… Delta Air Lines reports today, and JPMorgan, Wells Fargo, and BlackRock on Friday.

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股市 中国 刺激措施 通胀 美联储
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