异动解读|英国石油盘中下跌3.03%,油价下行拖累板块叠加远期展望承压

行情直击
Aug 04

8月4日,英国石油盘中下跌3.03%,报42.57美元/股,成交额1.15亿美元。尽管公司当日盘前发布的二季度财报大幅超出预期,但油价下行引发能源板块集体承压,英国石油跌幅一度扩大至5%。

财报显示,英国石油二季度调整后每股收益2.22美元,远超市场预期的1.98美元;营收691.1亿美元,同比增长48.2%,超出预期逾90亿美元;净利润翻倍至57.3亿美元,石油交易部门贡献突出。公司同时宣布每股股息上调4%。然而,公司前瞻指引偏谨慎:预计三季度客户业务业绩将大幅下滑,所得税环比增加约10亿美元。此外,公司宣布启动出售美国生物燃气业务Archaea及北海资产,并推迟墨西哥湾资产出售,资本支出指引相应上调。综合性石油与天然气行业整体走弱,雪佛龙跌2.61%、埃克森美孚跌2.61%、壳牌跌2.1%。

(以上内容均基于市场公开消息,由程序或算法智能生成,仅作为股价异动提醒,不作为投资建议或交易依据。)

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