欧洲股市周五震荡,最终以周线下跌收盘。油价重回每桶100美元上方,交易员在周末前减持风险资产。
斯托克欧洲600指数收跌0.5%,创下该指数今年以来的首次连续两周下跌。公用事业板块表现亮眼,涨幅超过1%,而矿业和工业等高能耗周期性板块表现欠佳。
早些时候,受欧洲多国正与伊朗就船只安全通过霍尔木兹海峡进行磋商的报道提振,股市一度上涨,但随后因另一则报道称五角大楼正在向中东增派海军陆战队和军舰,涨势迅速消退。
与此同时,伊朗加剧了对霍尔木兹海峡的袭击,推动油价重回100美元上方,并引发了市场对周末冲突进一步升级的担忧。欧洲房地产板块回吐了盘中微弱涨幅,最终收跌。
“金融市场走势表明,投资者开始接受这一局势可能无法迅速平息的现实,”AJ Bell市场主管Dan Coatsworth表示。
在交易最后一个小时,奢侈品股遭遇重挫,主要受该板块权重股LVMH下跌逾4%拖累。此前摩根士丹利下调了其目标价,并指出中东战争等因素对营收的影响;该股跌至8月以来最低。其他波动较大的个股包括BE半导体,其股价一度飙升至历史新高,此前路透报道称这家半导体设备公司收到收购意向。
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