亚洲主要股市周三普遍下行,反映华尔街股价的滑落1。东京日经225指数下跌3%至64,278.95点1,韩国KOSPI指数跌幅更大,下跌3.6%至6,588.95点1。香港恒生指数下跌0.8%至25,126.40点1,上海综合指数下跌0.9%至3,943.22点1,台湾加权指数下跌1.5%1。此前美国股市也出现调整,标普500指数下跌0.7%,纳斯达克指数下跌1%1。
全球债券市场的抛售势头加剧,推高了收益率水平1。美国10年期国债收益率从4.75%升至4.80%1,日本10年期政府债券收益率升至3.02%,为1996年以来最高水平1。与此同时,油价上涨,布伦特原油上涨1%至95.56美元/桶1,美国原油上涨0.7%至90.88美元/桶1。美元兑日元汇率升至160.271。
Asian stock markets experienced broad declines on Wednesday, tracking losses on Wall Street as a global bond selloff intensified.1 Japan's Nikkei 225 index fell 3% to 64,278.95, while South Korea's KOSPI dropped 3.6% to 6,588.95.1 Hong Kong's Hang Seng index slipped 0.8% to 25,126.40, and Shanghai's composite index declined 0.9% to 3,943.22.1 Taiwan's weighted index also retreated 1.5%.1
The broader market downturn reflected weakness across major developed markets, with the U.S. S&P 500 falling 0.7% and the Nasdaq declining 1%.1 The bond selloff proved particularly severe, with the U.S. 10-year Treasury yield climbing to 4.80% from 4.75%, while Japan's 10-year government bond yield reached 3.02%, its highest level since 1996.1 Energy markets reflected geopolitical tensions, as Brent crude rose 1% to $95.56 per barrel and U.S. crude advanced 0.7% to $90.88 per barrel.1 The dollar strengthened to 160.27 yen.1
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