Asia Mixed, Europe Slips, Gold Near Record High - Global Markets Today While US Slept
Asia Mixed, Europe Slips, Gold Near Record High - Global Markets Today While US Slept
On Monday, October 21st, U.S. markets closed mixed, with the Dow and S&P 500 declining. This ended a six-week winning streak as rising Treasury yields and high valuations raised investor caution ahead of key earnings reports. Nvidia boosted the Nasdaq, while Tesla and other rate-sensitive tech stocks slipped.
周一,10月21日,美国市场收盘时涨跌互现,道琼斯和标普500指数下跌。这终结了为期六周的连胜,随着国债收益率上升和高估值引发投资者谨慎,关键财报即将公布。英伟达带动了纳斯达克指数上扬,而特斯拉和其他敏感利率的科技股下滑。
Boeing surged as news emerged that workers might vote on a deal to end a costly five-week strike, while Spirit Airlines soared after securing an agreement to extend its debt refinancing deadline by two months.
波音股价飙升,因有消息传出工人可能会就结束长达五周的罢工达成协议,而Spirit航空公司在获得协议将债务再融资期限延长两个月后股价飙升。
Most S&P 500 sectors closed lower on Monday, with real estate, health care, and financials leading the losses. Meanwhile, tech stocks outperformed, finishing higher.
周一,标普500指数中大部分板块收盘下跌,房地产、医疗保健和金融板块领跌。与此同时,科技股表现突出,收盘高走。
The Dow Jones Industrial Average declined 0.80% and closed at 42,931.60. The S&P 500 ended the day lower by 0.18% at 5,853.98, while the Nasdaq Composite rose 0.27%, finishing the session at 18,540.01.
道琼斯指数下跌了0.80%,收于42,931.60点。标普500指数下跌了0.18%,报5,853.98点,而纳斯达克指数上涨了0.27%,收于18,540.01点。
Asia Markets Today
今日亚洲市场
- On Tuesday, Japan's Nikkei 225 closed lower by 1.60% at 38,405.50, led by 38,405.50, led by losses in the Chemical, Petroleum & Plastic, Rubber and Power sectors.
- Australia's S&P/ASX 200 declined 1.68% and ended the day at 8,205.70, led by losses in the Healthcare, A-REITs and Consumer Discretionary sectors.
- India's Nifty 50 traded lower by 1.25% at 24,472.10, and Nifty 500 was down 1.93% at 22,814.45.
- China's Shanghai Composite rose 0.54% to close at 3,285.87, and the Shenzhen CSI 300 gained 0.57%, finishing the day at 3,957.78.
- Hong Kong's Hang Seng gained 0.10% and closed the session at 20,498.95.
- 周二,日本日经225指数下跌了1.60%,报38,405.50点,受化学、石油与塑料、橡胶和电力板块的跌势所领跌。
- 澳洲S&P/ASX 200指数下跌了1.68%,收于8,205.70点,受医疗保健、A-REITs信托和消费者自由支出板块的跌势所领跌。
- 印度尼夫提50指数下跌了1.25%,报24,472.10点,尼夫提500指数下跌了1.93%,报22,814.45点。
- 中国的上海综合指数上涨0.54%,收于3,285.87点,深圳中证500上涨0.57%,收于3,957.78点。
- 香港恒生指数上涨0.10%,收于20,498.95点。
Eurozone at 06.00 AM ET
欧元区在美国东部时间早上6点。
- The European STOXX 50 index was down 0.47%.
- Germany's DAX declined 0.22%.
- France's CAC fell 0.80%.
- U.K.'s FTSE 100 traded lower by 0.74%.
- 欧洲50指数下跌0.47%。
- 德国DAX指数下跌0.22%。
- 法国CAC指数下跌0.80%。
- 英国富时100指数下跌0.74%。
Commodities at 06.00 AM ET
商品在美国东部时间早上6点。
- Crude Oil WTI was trading higher by 0.94% at $70.69/bbl, and Brent was up 0.82% at $74.90/bbl.
- Oil prices steadied as U.S. diplomatic efforts to push for a Middle East ceasefire and weak demand growth in China weighed on the market.
- Natural Gas was up 1.60% at $2.348.
- Gold was trading higher by 0.27% at $2,746.15, Silver rose 0.92% to $34.392, and Copper gained 0.67% to $4.3885.
- Gold prices rose near record highs amid uncertainty about the U.S. election, Middle East tensions, and expected interest rate cuts.
- wti原油上涨了0.94%,报70.69美元/桶,布伦特原油上涨0.82%,报74.90美元/桶。
- 美国外交努力推动中东停火以及中国需求增长疲软导致油价稳定。
- 天然气上涨了1.60%,报2.348美元。
- 黄金上涨0.27%,报2746.15美元,白银上涨0.92%,报34.392美元,铜上涨0.67%,报4.3885美元。
- 黄金价格接近历史高位,美国大选不确定性、中东紧张局势和预期的降息导致价格上涨。
U.S. Futures at 06.00 AM ET
美国期货交易所(ET)上午6点
Dow futures were down 0.47%, S&P 500 futures fell 0.01%, and Nasdaq 100 Futures slid 0.65%.
道琼斯指数期货下跌了0.47%,标准普尔500指数期货下跌了0.01%,纳斯达克100指数期货下跌了0.65%。
Forex at 06.00 AM ET
外汇交易所上午6点
The U.S. Dollar Index slid 0.02% to 104.00, USD/JPY was down 0.01% at 150.81, and USD/AUD declined 0.39% to 1.4960.
美元指数下滑0.02%,至104.00,美元/日元下跌0.01%,报150.81,美元/澳元下降0.39%,至1.4960。
Photo by Pavel Bobrovskiy via Shutterstock
照片由shutterstock提供,作者Pavel Bobrovskiy。