异动解读|穆迪盘中下跌3.07%,Q2业绩超预期但全年指引上调幅度有限

行情直击
Jul 23

7月23日,穆迪盘中下跌3.07%,报474.65美元/股,成交额6495.69万美元。

消息面上,穆迪于7月22日盘前发布第二季度财报,调整后每股收益4.68美元,大幅超出市场预期的4.24美元;营收21.85亿美元,超出预期的20.77亿美元,同比增长约15%。然而,公司将全年调整后每股收益指引仅小幅上调至16.50-17.00美元(此前为16.40-17.00美元),低端仅提升0.10美元,市场对指引上调力度感到失望。尽管Baird等多家机构随即上调目标价,但股价在业绩公布后持续走弱,呈现典型的"利好出尽"走势。此外,穆迪在财报前一日已大跌逾4%,短期抛压仍在消化中。

穆迪公司是一家全球性的综合风险评估公司,赋能组织在指数风险的新时代中预测、适应并茁壮成长。该公司的数据、分析解决方案和洞察力帮助决策者识别机会并管理开展业务的风险。

(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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