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周四下午,金融股下跌,纽约证券交易所金融指数和金融精选行业 SPDR 基金分别下跌 0.8% 和 1.1%。比特币上涨 3.9%,至 68,570 美元,而 10 年期美国国债收益率下跌 5 个基点,至 4.31%。经济消息包括美国 3 月份非农就业人数预期增加 215,000 人,失业率下降至 3.8%。
Financial Sector Wobbles Amidst Market Turmoil
金融业在市场动荡中摇摇欲坠
Financial stocks stumbled in late afternoon trading on Thursday, dragged down by a combination of geopolitical uncertainties and economic concerns. The NYSE Financial Index plunged 0.8%, while the Financial Select Sector SPDR Fund (XLF) tumbled 1.1%.
受地缘政治不确定性和经济担忧的共同拖累,金融股周四午后交易中下跌。纽约证券交易所金融指数下跌 0.8%,金融精选行业 SPDR 基金 (XLF) 下跌 1.1%。
The decline in the financial sector was mirrored in the real estate sector, with the Philadelphia Housing Index shedding 1.4% and the Real Estate Select Sector SPDR Fund (XLRE) sliding 0.6%.
金融业的下滑也反映在房地产业,费城住房指数下跌 1.4%,房地产精选行业 SPDR 基金 (XLRE) 下跌 0.6%。
Economic indicators provided further cause for concern. Initial jobless claims in the United States climbed to 221,000 in the week ending March 30, marking the highest level since January. This unexpected increase raised fears of a potential slowdown in the labor market.
经济指标进一步令人担忧。截至 3 月 30 日当周,美国首次申请失业救济人数攀升至 221,000 人,创下 1 月份以来的最高水平。这一意外的增长引发了人们对劳动力市场可能放缓的担忧。
Meanwhile, the US international trade deficit widened to $68.9 billion in February, fueled by a surge in imports. The larger trade gap suggests that the US economy is struggling to keep pace with global demand.
与此同时,在进口激增的推动下,美国 2 月份国际贸易逆差扩大至 689 亿美元。较大的贸易逆差表明美国经济正在努力跟上全球需求的步伐。
On the corporate front, Bank of America (BAC) faced a downgrade from UBS, citing limited upside potential due to already priced-in business momentum. The brokerage downgraded BAC to neutral and raised its price target to $40 from $39. Bank of America shares dropped 1.5%.
在企业方面,美国银行(BAC)面临瑞银的评级下调,理由是由于已经计入了业务势头,上行潜力有限。该券商将 BAC 评级下调至中性,并将目标价从 39 美元上调至 40 美元。美国银行股价下跌 1.5%。
Morgan Stanley (MS) found itself managing the sale of approximately 4.8 billion euros ($5.2 billion) of loans from distressed Greek banks, according to Bloomberg. This announcement weighed on MS shares, which declined 1%.
据彭博社报道,摩根士丹利 (MS) 发现自己正在管理着来自陷入困境的希腊银行的约 48 亿欧元(52 亿美元)贷款的出售。该公告令 MS 股价承压,下跌 1%。
In contrast, Bitcoin (BTC/USD) surged 3.9% to $68,570, defying the market's bearish sentiment. The yield on 10-year US Treasuries also fell 5 basis points to 4.31%.
相比之下,比特币(BTC/USD)飙升 3.9% 至 68,570 美元,无视市场的看跌情绪。 10年期美国国债收益率也下跌5个基点至4.31%。
However, the biggest market-moving event is yet to come. On Friday, the US nonfarm payrolls report for March is scheduled for release at 8:30 am ET. Economists predict a modest increase of 215,000 jobs, with the unemployment rate falling slightly to 3.8%. A deviation from these forecasts could have significant implications for financial markets.
然而,影响市场的最大事件尚未到来。美国东部时间周五上午 8:30 将公布 3 月份美国非农就业报告。经济学家预测就业岗位将小幅增加215,000个,失业率小幅下降至3.8%。偏离这些预测可能会对金融市场产生重大影响。
Amidst the market turbulence, Coinbase (COIN) made a notable announcement, becoming the largest and first international crypto exchange to register as a restricted dealer in Canada. This move was greeted with muted enthusiasm, as COIN shares edged down 0.2%.
在市场动荡之际,Coinbase (COIN) 发布了一项引人注目的公告,成为加拿大最大且首家注册为受限交易商的国际加密货币交易所。这一举措并未受到热烈欢迎,COIN 股价小幅下跌 0.2%。
Carlyle (CG) also made headlines with a potential sale of StandardAero, which could value the company at approximately $10 billion, according to Reuters. This news had a minimal impact on CG shares, which dipped 0.2%.
据路透社报道,凯雷 (CG) 还因可能出售 StandardAero 而成为头条新闻,这可能使该公司估值约 100 亿美元。该消息对 CG 股价影响甚微,下跌 0.2%。
As the trading day concluded, financial stocks continued to languish, reflecting the broader market's unease. The path ahead remains uncertain, with geopolitical tensions and economic concerns casting a shadow over the markets. Investors will be closely monitoring Friday's employment data for clues on the trajectory of the economy and the future of financial stocks.
截至交易日结束,金融股继续低迷,反映出大盘的不安情绪。未来的道路仍然不确定,地缘政治紧张局势和经济担忧给市场蒙上阴影。投资者将密切关注周五的就业数据,以寻找有关经济轨迹和金融股未来的线索。
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