全球股市在周二呈现分化态势。MSCI全球股指指数触及历史高点后小幅回落,因投资者消化美国通胀数据及银行季度财报影响;与此同时,纳斯达克指数受英伟达股价飙升推动,再创新高。美国国债收益率攀升至多月高位,反映出市场对美联储降息时机的谨慎预期。
**股票市场** 在纽约,纳斯达克指数上涨0.66%,收于20,776.73点;标普500指数微升0.01%,报6,269.27点;道琼斯工业指数则下跌0.57%,至44,208.37点。欧洲方面,STOXX 600指数下滑0.4%,受金融和医疗股拖累。东京日经指数上涨0.55%,收于39,678.02点,芯片股受益于英伟达恢复对华AI芯片销售计划。中国蓝筹股沪深300指数持平,上证综指微跌0.4%。澳大利亚S&P/ASX 200指数创收盘纪录,上扬0.7%至8,630.30点。韩国KOSPI指数上涨0.41%,报3,215.28点,为近四年高点。
**外汇市场** 美元兑日元汇率升至148.68,触及15周高位;人民币则保持稳定,在岸人民币报7.1733,离岸人民币为7.1759。澳元和新西兰元缺乏支撑,澳元持平于0.6544美元;韩元走强0.20%,报1,380.2兑美元。
**债券市场** 美国10年期国债收益率上涨5.2个基点至4.479%,30年期收益率升至五周高点。欧元区10年期德债收益率下滑2个基点至2.71%。日本30年期国债收益率创历史新高3.195%,因投资者担忧财政健康。
**商品市场** 黄金价格下跌0.4%,至每盎司3,329.11美元,受关税更新等待影响。铁矿石期货反弹0.13%,报767元人民币/吨,受益于中澳关系改善。铜价微升0.2%,至9,640美元/吨。布伦特原油下跌0.7%,报68.70美元/桶。马来西亚棕榈油期货重挫1.94%,收于4,148林吉特/吨;日本橡胶期货结束五日连涨,跌0.22%至317日元/公斤。
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