意大利股票在数据薄弱和监管倒退中下跌0.4%,银行股位下降。
Italian stocks dipped 0.4% amid weak data and regulatory setbacks, with banking shares falling.
意大利股票在星期一波动, 关闭0.4%, 因为MIB指数在投资者的谨慎情绪下跌至44000点以下。
Italian stocks fluctuated on Monday, closing down 0.4% as the MIB index dipped below 44,000 points amid cautious investor sentiment.
市场受到美国经济数据延迟、Nvidia即将获得的收入以及监管障碍的影响,包括Snam取消对开放网格欧洲的收购等。
Markets were influenced by delayed U.S. economic data, Nvidia’s upcoming earnings, and regulatory hurdles, including Snam’s scrapped acquisition of Open Grid Europe.
银行股票下降,而Leonardo和Fiera Milano则因强劲的成果和战略行动而上升。
Banking stocks declined, while Leonardo and Fiera Milano rose on strong results and strategic moves.
欧洲指数大多下跌,法国、德国和英国都略有下降。
European indices mostly fell, with France, Germany, and the UK all down modestly.
欧元略有疲软,意大利的通货膨胀率在10月降至每年下降1.2%。
The euro weakened slightly, and inflation in Italy dropped to a 1.2% annual decrease in October.
预计欧洲央行12月的利率将保持不变。
The ECB is expected to keep rates unchanged in December.