美国股票在美联储削减利率、谨慎前景和甲骨文收入疲软之后混合,对市场造成压力。
U.S. stocks mixed after Fed rate cut, cautious outlook and weak Oracle earnings weigh on markets.
美联储决定降低利率后,美国股票开始混为一谈,市场对相互矛盾的信号做出反应:虽然削减利率提供了推动力,但美联储对未来削减的前景比预期的更加谨慎,抑制了投资者的乐观情绪。
U.S. stocks ended mixed after the Federal Reserve's decision to cut interest rates, with markets reacting to conflicting signals: while the rate cut provided a boost, the Fed's outlook for future cuts was more cautious than expected, dampening investor optimism.
Oracle报告的收入错过了估计,导致技术股票向下压力。
Oracle reported earnings that missed estimates, contributing to downward pressure on tech stocks.
S&P 500和Nasdaq的优势较低,而Dow Jones的工业平均工资略有上升。
The S&P 500 and Nasdaq edged lower, while the Dow Jones Industrial Average inched up slightly.