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加密貨幣新聞文章

隨著技術和基礎材料的進步,美國股市表現參差不齊

2025/01/17 21:08

美國股市週一收盤漲跌不一,反映了市場情緒的不同板塊。科技、基礎材料和消費者服務的上漲推動部分市場走高,而電信、公用事業和消費品的下跌則拖累其他板塊走低。

隨著技術和基礎材料的進步,美國股市表現參差不齊

Major stock indexes in the United States ended Monday’s trading session with mixed results, reflecting divergent market sentiment across sectors.

美國主要股指週一交易時段收盤結果好壞參半,反映出各產業市場情緒的分化。

While gains in technology, basic materials and consumer services pushed parts of the market higher, declines in telecommunications, utilities and consumer goods dragged other sectors down.

雖然科技、基礎材料和消費者服務的上漲推動部分市場走高,但電信、公用事業和消費品的下跌拖累了其他產業。

At the close, the Dow Jones Industrial Average (DJIA) slipped by 0.04%, the S&P 500 climbed 0.58%, and the NASDAQ Composite surged 1.25%, fueled by strength in the tech sector.

截至收盤,在科技股走強的推動下,道瓊工業指數(DJIA)下跌 0.04%,標準普爾 500 指數上漲 0.58%,那斯達克指數飆升 1.25%。

Among the blue-chip DJIA members, NVIDIA Corporation (NASDAQ: NVDA) led the gains, rising 3.43% to close at $149.43, amid optimism for the semiconductor space. Amazon.com Inc. (NASDAQ: AMZN) added 1.53% to close at $227.61, and Microsoft Corporation (NASDAQ: MSFT) advanced 1.06%, settling at $427.85.

在道瓊工業股中,由於對半導體領域的樂觀情緒,英偉達公司(納斯達克股票代碼:NVDA)領漲,上漲 3.43%,收於 149.43 美元。亞馬遜公司(納斯達克股票代碼:AMZN)上漲 1.53%,收在 227.61 美元;微軟公司(納斯達克股票代碼:MSFT)上漲 1.06%,收在 427.85 美元。

On the downside, Procter & Gamble Company (NYSE: PG) fell 2.70% to $160.67, marking the session’s steepest DJIA loss. Honeywell International Inc. (NASDAQ: HON) declined 2.11%, and Nike Inc. (NYSE: NKE) dropped 1.79%.

下檔方面,寶潔 (NYSE: PG) 下跌 2.70%,至 160.67 美元,創下道瓊指數跌幅最大紀錄。霍尼韋爾國際公司(納斯達克股票代碼:HON)下跌 2.11%,耐吉(NYSE:NKE)下跌 1.79%。

Among the broader S&P 500, Micron Technology Inc. (NASDAQ: MU) led the gainers, soaring 10.45% to close at $99.26, followed by Super Micro Computer Inc. (NASDAQ: SMCI), up 9.36%, and Teradyne Inc. (NASDAQ: TER), which climbed 7.20%.

標準普爾500 指數中,美光科技公司(NASDAQ:MU)領漲,飆漲10.45%,收在99.26 美元,其次是超微電腦公司(NASDAQ:SMCI),上漲9.36 %,泰瑞達公司(NASDAQ:NASDAQ)緊追在後。

Conversely, Axon Enterprise Inc. (NASDAQ: AXON) fell 5.05%, while Palantir Technologies Inc. (NASDAQ: PLTR) and Essex Property Trust Inc. (NYSE: ESS) slipped 4.97% and 4.03%, respectively.

相反,Axon Enterprise Inc.(納斯達克股票代碼:AXON)下跌5.05%,Palantir Technologies Inc.(納斯達克股票代碼:PLTR)和Essex Property Trust Inc.(NYSE:ESS)分別下跌4.97%和4.03%。

The NASDAQ Composite showcased dramatic swings, with Boxlight Corp Class A (NASDAQ: BOXL) surging an astounding 265.22% to close at $1.68, hitting a 52-week high. Scisparc Ltd (NASDAQ: SPRC) gained 102.69%, and XTI Aerospace Inc. (NASDAQ: XTIA) advanced 99.52%.

那斯達克指數大幅波動,Boxlight Corp A 類股(納斯達克股票代碼:BOXL)飆漲 265.22%,收在 1.68 美元,創 52 週新高。 Scisparc Ltd(納斯達克股票代碼:SPRC)上漲102.69%,XTI Aerospace Inc.(納斯達克股票代碼:XTIA)上漲99.52%。

At the other end of the spectrum, Real Good Food Company Inc. (NASDAQ: RGF) plunged 65.16%, hitting $1.25. Luna Innovations Incorporated (NASDAQ: LUNA) and GlucoTrack Inc. (NASDAQ: GCTK) also posted significant losses, with LUNA falling to a 5-year low and GCTK hitting an all-time low.

另一方面,Real Good Food Company Inc.(納斯達克股票代碼:RGF)暴跌 65.16%,觸及 1.25 美元。 Luna Innovations Incorporated(納斯達克股票代碼:LUNA)和GlucoTrack Inc.(納斯達克股票代碼:GCTK)也出現大幅虧損,其中LUNA跌至5年低點,GCTK創歷史新低。

Declining stocks outnumbered advancing ones by 1,562 to 1,221 on the NYSE and by 1,701 to 1,603 on the NASDAQ. The CBOE Volatility Index, which measures the market’s fear gauge, edged down 0.56% to 16.04, signaling relative calm.

紐約證交所下跌股票數量多於上漲股票數量,分別為 1,562 只和 1,221 只,納斯達克市場則分別為 1,701 只和 1,603 只。衡量市場恐懼程度的芝加哥選擇權交易所波動率指數小幅下跌 0.56%,至 16.04,顯示市場相對平靜。

In commodities, gold futures for February delivery dipped 0.28% to $2,647.16 per ounce. Crude oil fell, with February delivery down 0.77% to $73.39 per barrel and March Brent crude slipping 0.44% to $76.17 per barrel.

商品方面,2 月交割的黃金期貨下跌 0.28%,至每盎司 2,647.16 美元。原油下跌,2月交割的原油下跌0.77%至每桶73.39美元,3月交割的布蘭特原油下跌0.44%至每桶76.17美元。

In currency markets, the EUR/USD pair rose 0.79% to 1.04, while USD/JPY climbed 0.24% to 157.61. The US Dollar Index Futures slid 0.67%, settling at 108.07.

貨幣市場方面,歐元兌美元匯率上漲0.79%至1.04,美元/日圓上漲0.24%至157.61。美元指數期貨下跌 0.67%,收在 108.07。

Investors will continue to monitor sectoral trends, geopolitical developments, and economic data for further direction as the trading week progresses.

隨著交易週的進展,投資者將繼續關注行業趨勢、地緣政治發展和經濟數據,以獲得進一步的方向。

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