异动解读 | 宏利金融盘前大跌5.02%,或因一季度资产管理业务录得大幅净流出

异动解读
May 14

宏利金融今日盘前股价大跌5.02%,引发了市场的关注。

消息面上,公司发布了2026年第一季度业绩报告。报告显示,公司核心盈利录得18亿加元,同比增长8%;归属于股东的净收入为11亿加元,同比大幅增长。然而,业绩中的一个关键细节可能引发了投资者的担忧:其全球财富与资产管理业务在本季度录得44亿加元的净流出,而去年同期为净流入5亿加元。这一显著的资金流出态势,可能被市场解读为公司核心资产管理业务面临压力,从而影响了投资者信心,导致股价在盘前交易时段承压下跌。

尽管公司整体盈利指标表现积极,但资产管理规模的大幅净流出这一结构性变化,显然是市场关注的焦点,并可能主导了盘前的交易情绪。

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