9月25日,由于英国的政治担忧和美国收益率上升,受强劲的GDP和财政担忧的推动,全球市场下跌。
Global markets dipped Sept. 25 amid UK political worries and rising U.S. yields, driven by strong GDP and fiscal concerns.
全球股票市场在2025年9月25日下跌, 因为英国政治不确定性, 包括投机对总理基尔·斯塔默(Keir Starmer)提出领导力挑战,
Global stock markets declined on September 25, 2025, as UK political uncertainty, including speculation of a leadership challenge to Prime Minister Keir Starmer, pushed bond yields higher and weakened the pound.
FTSE 100下降了0.4%,FTSE 250和AIM All-Share下降了,欧洲指数也下降了。
The FTSE 100 fell 0.4%, while the FTSE 250 and AIM All-Share dropped, and European indices also declined.
在美国,比预期的更强劲的GDP增长和较低的无工作要求提高了美元,提高了国库的收益率,10年的收益率达到4.20%。
In the U.S., stronger-than-expected GDP growth and lower jobless claims boosted the dollar and raised Treasury yields, with the 10-year yield reaching 4.20%.
分析师对拟议政府支出和借款的潜在财政风险表示担忧,而企业业绩各不相同,Halma 因乐观指引而上涨,而 Phoenix Group 和 ConvaTec 在除息交易和美国对医疗器械进口的调查后下跌。
Analysts expressed concern over potential fiscal risks from proposed government spending and borrowing, while corporate results varied, with Halma rising on optimistic guidance and Phoenix Group and ConvaTec falling after ex-dividend trading and a U.S. investigation into medical device imports.