2026年1月12日,欧洲股票在通货膨胀、政策和全球关切方面跌落。
European stocks dip Jan. 12, 2026, on inflation, policy, and global concerns.
罗马尼亚的贸易差距在2025年11月缩小,这表明外部平衡有所改善,尽管准确的进出口数字没有公布。
Romania’s trade gap narrowed in November 2025, signaling improved external balance, though exact import and export figures were not released.
2025年12月,瑞士消费者信心上升,反映出尽管经济挑战持续存在,但家庭情绪更强。
Swiss consumer confidence rose in December 2025, reflecting stronger household sentiment despite ongoing economic challenges.
欧元区投资者信心达到了六个月的顶峰,其驱动力是稳定通胀和对增长与政策的乐观前景。
The Eurozone’s investor confidence hit a six-month high, driven by stabilizing inflation and optimistic outlooks on growth and policy.
匈牙利的工业产出下降了5.4%,但由于技术错误,无法提供详情。
Hungary’s industrial output declined 5.4%, but details are unavailable due to a technical error.
欧洲股票预计于2026年1月12日开放量会降低,
European stocks are expected to open lower on January 12, 2026, amid concerns over inflation, central bank policies, and global uncertainties.