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S&P 500 Books Back-to-back Losses As Wall Street Grapples With A Rocky Start To September

S&P 500 Books Back-to-back Losses As Wall Street Grapples With A Rocky Start To September

標準普爾500指數連續兩次下跌,隨着華爾街9月份艱難開局的掙扎
Business Today ·  20:23

The S&P 500 and the Nasdaq Composite fell for a second straight session in a lackluster start to September.

標普500指數和納斯達克綜合指數在9月份開局乏善可陳的情況下連續第二個交易日下跌。

The S&P 500 lost 0.16% to finish at 5,520.07, while the Nasdaq Composite slipped 0.3% to close at 17,084.30. The Dow Jones Industrial Average was the outlier, edging up 38.04 points, or 0.09%, to end at 40,974.97.

標準普爾500指數下跌0.16%,收於5,520.07,而納斯達克綜合指數下跌0.3%,收於17,084.30。道瓊斯工業平均指數是異常值,小幅上漲38.04點,漲幅0.09%,收於40,974.97點。

"At least on the margins, you're seeing some nibbling after that sell off yesterday," said Truist's co-chief investment officer Keith Lerner. "Investors are a bit on edge; it's a low-conviction trade. Everyone's waiting for this Friday employment report, and until then, we're in a bit of a holding pattern."

Truist聯席首席投資官基思·勒納表示:「至少在利潤率方面,在昨天的拋售之後,你會看到一些小幅的流失。」「投資者有點緊張;這是一種低信度的交易。每個人都在等待本週五的就業報告,在此之前,我們一直處於停滯狀態。」

Nvidia fell 1.7% following a Bloomberg report that the U.S. Justice Department sent subpoenas to the chipmaker. The move comes after Nvidia tumbled more than 9% Tuesday amid a broader pullback in semiconductors.

彭博社報道美國司法部向這家芯片製造商發出傳票後,英偉達下跌了1.7%。此舉是在英偉達週二因半導體大幅回調而下跌超過9%之後採取的。

Some megacap technology and chip stocks regained their footing Wednesday, with Advanced Micro Devices and Tesla rallying about 3% and 4%, respectively. Meta Platforms, Marvell Technology, Broadcom and Qualcomm edged higher.

週三,一些大盤股科技股和芯片股重新站穩了腳跟,先進微設備和特斯拉分別上漲了約3%和4%。Meta Platforms、Marvell科技、博通和高通小幅走高。

Stocks bounced off their lows as the so-called yield curve of the Treasury market momentarily returned to a normal state. The curve had been inverted with the rate on the 10-year note lower than the 2-year yield. This is a common recession signal and had worried investors. On Wednesday, the 10-year yield returned to even with the 2-year yield at one point and briefly went slightly higher.

隨着美國國債市場所謂的收益率曲線暫時恢復正常狀態,股市從低點反彈。曲線已經倒置,10年期國債的利率低於2年期國債的收益率。這是一個常見的衰退信號,令投資者感到擔憂。週三,10年期國債收益率一度恢復平衡,2年期國債收益率一度小幅上漲。

Wall Street is coming off a losing session, with the major benchmarks posting their worst day going back to the sell-off Aug. 5, as chip names struggled and the latest economic data implied slowing growth for the U.S. economy.

華爾街正在經歷一個虧損的交易日,主要基準指數公佈了最糟糕的一天,可以追溯到8月5日的拋售,原因是芯片公司陷入困境,最新的經濟數據表明美國經濟增長放緩。

Traders are bracing for more volatility in September, with many anticipating a pullback of 5% or more in this historically weak stretch for equities. Pullbacks such as those experienced in recent weeks, however, should not dissuade investors, according to TD Wealth's chief investment strategist Sid Vaidya.

交易者正在爲9月份的更大波動做好準備,許多人預計,在這段歷史性的疲軟時期,股市將回調5%或更多。但是,道明財富首席投資策略師西德·瓦迪亞表示,最近幾周經歷的回調不應使投資者望而卻步。

"From our standpoint, this is normal course, short-term volatility," he said. "We wouldn't change any positioning based on the last day and a half." – CNBC

他說:「從我們的角度來看,這是正常的短期波動。」「我們不會在最後一天半的基礎上改變任何定位。」 — CNBC

声明:本內容僅用作提供資訊及教育之目的,不構成對任何特定投資或投資策略的推薦或認可。 更多信息
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