美国股票靠强大的经济数据下跌,提高了国库的产量,降低了美联储削减利率的希望。
U.S. stocks fell on strong economic data boosting Treasury yields and reducing Fed rate cut hopes.
2025 年 9 月 25 日星期四,华尔街迎来了一个多月来最长的连跌,标准普尔 500 指数、道琼斯指数和纳斯达克指数均因美国经济数据强于预期而下跌。
Wall Street headed toward its longest losing streak in over a month on Thursday, September 25, 2025, as the S&P 500, Dow Jones, and Nasdaq all declined amid stronger-than-expected U.S. economic data.
报告显示,无工作索偿率降低、国内生产总值增长率上调以及耐用货物订单激增,表明经济具有复原力,降低了对美联储降低利率的预期。
Reports showing lower jobless claims, revised upward GDP growth, and surging durable goods orders suggested a resilient economy, reducing expectations for Federal Reserve interest rate cuts.
这一转变给股票市场带来了压力,尽管一些公司收入丰厚,但国库收益不断上升,主要技术股票下跌。
This shift pressured stock markets, with Treasury yields rising and major tech stocks falling despite strong earnings from some firms.
Carmax在缺少利润预测和增加贷款损失准备金后猛跌了19%以上,而Starbucks则在10亿美元的重组计划上陷入困境。
CarMax plunged over 19% after missing profit forecasts and raising loan loss provisions, while Starbucks dipped on a $1 billion restructuring plan.
全球市场也有所下降,反映出投资者在担心估值过大和货币政策前景变化时越来越谨慎。
Global markets also declined, reflecting growing investor caution amid concerns over stretched valuations and shifting monetary policy outlook.