U.S. stocks fluctuate narrowly as markets await U.S. CPI data
Coinpaper
7h ago
Ai Focus
The U.S. stock market saw narrow-range consolidation, with the Dow Jones index relatively strong. Markets are focusing on the U.S. CPI data to be released on Wednesday and its impact on interest rate expectations.
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美股周二早盘整体波动不大,标普500指数仍靠近高位,道琼斯工业平均指数表现相对更强。市场内部上涨范围较广,说明本轮反弹并非只由少数大型股推动。不过,美债收益率维持高位,加上美国通胀数据即将公布,投资者追高意愿仍然有限。

道指跑赢,科技股偏弱

截至美东时间周二上午,三大指数走势分化。道指上涨约 0.4%,标普500指数基本持平,纳指则小幅回落。盘面上,工业和公用事业板块领涨,带动道指相对占优;科技和通信服务板块偏弱,拖累纳指表现。

个股方面,英伟达逆势上涨约 1.2%,微软和苹果则分别下跌约 0.8% 和 1%。此外,Cardinal Health 在业绩和盈利预期带动下走高。矿企 Riot Platforms 因与 Anthropic 相关的约 90 亿美元算力合作消息上涨,而 On Holding 在销售不及预期后大跌逾 20%。

油价回落缓解压力

能源市场方面,布伦特原油一度升破每桶 90 美元,但随后回落至 87 美元附近。报道称,美国与伊朗可能接近达成协议,令市场对新一轮能源冲击的担忧有所降温。

油价回落在一定程度上缓解了通胀压力预期,但并未明显提振股市风险偏好。市场更关注的是,能源价格是否会再次推高美国通胀,并影响美联储后续利率判断。

市场等待周三CPI

尽管标普500指数周二未能继续明显上攻,但市场广度数据仍显示上涨基础较稳。数据显示,标普500成分股中,约 72% 站上 200 日均线,66.2% 同时高于 20 日和 50 日均线。这意味着当前上涨并不完全依赖少数权重股,而是有更广泛的个股参与。

眼下市场的主要焦点转向周三公布的 7 月美国消费者价格指数。经济学家预计,整体通胀年率将较 6 月的 3.5% 略有回落。与此同时,10 年期美债收益率虽回落至约 4.68%,但仍处在较高水平,继续压制股票估值。

补充信息:最新房地产数据显示,美国 7 月成屋销售环比下降 1.7%,折合年率为 406 万套,连续第二个月下滑,高按揭利率仍在抑制住房需求。

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