在缓和紧张局势和美联储投机行为的情况下,随着石油和商品价格下跌,欧洲股票下降。
European stocks dropped as oil and commodity prices fell, amid easing tensions and Fed speculation.
欧洲股票在星期一下跌,商品价格暴跌,采矿和能源份额下降,STOXX 600下跌0.4%。
European stocks fell on Monday as commodity prices plunged, dragging down mining and energy shares, with the STOXX 600 dropping 0.4%.
在美伊紧张局势缓解以及对鹰派美联储主席提名的猜测中,黄金、白银和石油均下跌。
Gold, silver, and oil declined amid U.S.-Iran tensions easing and speculation over a hawkish Fed chair nomination.
Nvidia的OpenAI投资停滞后,投资者的担忧增加,从而助长了风险规避。
Investor concerns grew after Nvidia’s OpenAI investment stalled, fueling risk aversion.
食品和饮料等防御性部门略有上升,而公司结果显示业绩好坏参半,包括朱利叶斯·贝尔的利润下降和萨诺菲的收益。
Defensive sectors like food and beverage rose slightly, while corporate results showed mixed performance, including a profit drop at Julius Baer and gains at Sanofi.
美国的股票在星期五低端结束,亚洲市场大多较弱,中国的制造业PMI收缩。
U.S. stocks ended lower Friday, and Asian markets were mostly weaker, with China’s manufacturing PMI contracting.