Oil prices fell close U.S. stocks fell on Friday 湖南冶金职业技术学院

Close: oil prices fell U.S. stocks fell on Friday the United States stock market center: exclusive national industry sector stocks, premarket after hours, ETF, real-time quotes warrants to view the latest market stocks Sina News 24 am Beijing time, U.S. stocks fell on Friday. Oil prices fell sharply, manufacturing data is not expected, leading to pressure on U.S. stocks. But this week, the Dow rose 0.8%, the S & P 1.2% and the NASDAQ rose. Est at 16:00 on September 23rd (Beijing time at 04:00 on September 24th), the Dow fell 131.01 points, at 18261.45 points, or 0.71%; P index fell 12.49 points, at 2164.69 points, or 0.57%; the NASDAQ fell 33.78 points, at 5305.75 points, down 0.63%. Friday crude oil futures prices fell sharply, the WTI futures fell 4%, London Brent crude fell 3.7%. Oil prices have put pressure on the market. Economic data, the United States in September Manufacturing Purchasing Managers Index fell from 52 in August to 51.4, a record low since June. More than 50 showed improvements in manufacturing. Twitter (TWTR) shares rose sharply after reports on the company’s takeover negotiations had become white hot. Earlier this week, US stocks have risen for three consecutive trading days. The Fed’s latest policy decision is exciting for the market. On Wednesday, the Fed announced that interest rates remained unchanged, but hinted at confidence in the U.S. economy and sent a signal for interest rates to rise at the end of the year. On Thursday, the S & P 500 index rose 0.7%, closing 0.5%. Na refers to as high as 0.8%, another closing high. The closing point of the standard & Poor’s 500 index is 0.6% below the peak in mid August, and the Dow is 1.3% below its peak. By the end of Thursday, the three major indexes were 1.5% to 1.8% this week. Although in the past week U.S. stocks rose sharply, but the Merrill Lynch strategist warned that market sentiment may be over optimistic. Merrill Lynch’s "bull bear index" is already in the middle of the region, but as investors’ bullish mood rises, we expect the index to rise in the next few weeks." Colin Markets senior market analyst Colin CMC (Shinseki Cieszynski) said: "the stock market this week there has been a big fluctuation.". Before the OPEC conference, people were reluctant to make extreme bets on oil prices. We think the stock market will be affected by any change in oil prices." The United States oil services company Beck Hughes reported on Monday, the United States to September 23rd when the week number of oil drilling 418, before the value of 416; the United States until September 23rd when the week number of gas drilling 92, before the value of 89; the United States until September 23rd when the total number of weeks total drilling 511, before the value of 506. Fed officials speak with market attention. Philadelphia Federal Reserve governor Patrick – Hackl (Patrick Harker), Atlanta Federal Reserve governor Denis – Lockhart (Dennis Lo5)

收盘:油价重挫美股周五收跌 美股行情中心:独家提供全美股行业板块、盘前盘后、ETF、权证实时行情 查看最新行情   新浪美股讯 北京时间24日凌晨,美股周五收跌。油价大幅下挫、制造业数据不及预期,令美股承压。但本周道指累计上涨0.8%,标普与纳指上涨1.2%。   美东时间9月23日16:00(北京时间9月24日04:00),道指跌131.01点,报18,261.45点,跌幅为0.71%;标普指数跌12.49点,报2,164.69点,跌幅为0.57%;纳指跌33.78点,报5,305.75点,跌幅为0.63%。   周五原油期货价格大幅收跌,美国WTI期货收跌4%,伦敦布伦特原油收跌3.7%。油价下挫令市场承受了较大压力。   经济数据面,美国9月制造业采购经理人指数从8月份的52下降至51.4,创6月以来新低。高于50则表明制造业状况改善。   Twitter(TWTR)股价大涨,此前有报道称有关这家公司的收购谈判已经白热化。   本周早期美股已连续三个交易日上涨。美联储的最新政策决定令市场感到振奋。周三美联储宣布维持利率不变,但同时暗示对美国经济抱有信心,并发出了年底将加息的讯号。   周四标普500指数收高0.7%,道指收高0.5%。纳指收高0.8%,再创收盘新高。标普500指数的收盘点位与8月中旬的最高点差距为0.6%,道指比最高值差1.3%。截止周四收盘,三大股指本周均有1.5%至1.8%的涨幅不等。   尽管过去一周内美股大幅上涨,但美银美林策略师警告称市场情绪可能过度乐观。美银美林的“牛熊指数”已处在中位区域,但“随着投资者的看涨情绪提高,我们预计未来几周内该指数将会提高。”   CMC Markets资深市场分析师科林-契辛斯基(Colin Cieszynski)表示:“本周股市出现了较大的波动。在OPEC会议结果出炉之前,人们不愿意对油价做出极端的下注。我们认为,油价有任何变故,股市都会受到影响。”   美国油田服务公司贝克休斯周一报告称,美国至9月23日当周石油钻井总数418座,前值416座;美国至9月23日当周天然气钻井总数92座,前值89座;美国至9月23日当周总钻井总数511座,前值506座。   美联储官员讲话受到市场关注。费城联储行长帕特里克-哈克尔(Patrick Harker)、亚特兰大联储行长丹尼斯-洛克哈特(Dennis Lockhart)、克利夫兰联储行长洛瑞塔-梅斯特(Loretta Mester)以及达拉斯联储行长罗伯特-卡普兰(Robert Kaplan)等人将在周五发表讲话。   波士顿联储行长罗森格伦表示,由于美联储迟迟不愿加息,他认为经济衰退风险已经增大。   明尼阿波利斯联储行长卡什卡利预计美国长期潜在经济增速略低于2%。他表示,较之升息过慢,更担心升息过快。美联储的通胀目标不会微调;没有看到美国经济中出现楼市泡沫。他对美国经济增速步伐表示担忧。   达拉斯联储行长卡普兰表示,当前美国经济并不过热,美联储在等待加息上等得起;美联储政策的宽松度不及部分人可能认为的水平。卡普兰认为,相较于英国脱欧,中国对美国经济的影响更大。   亚特兰大联储行长洛克哈特表示,低生产力增速问题令人“头疼”,并不容易解释;人均GDP是观察进展的准确标准。   个股消息面,雅虎(YHOO)股价走低,该公司披露称,在2014年的一次黑客袭击中,至少5亿用户的数据信息遭窃。雅虎推测,入侵的黑客可能具有国家背景。   Facebook(FB)股价下跌,有报告称大型广告投放客户对这家科技行业巨头大规模高估其平台上的视频广告浏览时间感到失望。   其他市场面,周五原油期货价格大幅收跌,令能源板块承压。分析师称,随着下周主要产油国的会议临近,市场情绪变得更加谨慎与怀疑,投资者已在兑现收益。   欧洲股市周五收盘,泛欧绩优300指数周五收跌0.70%,报1359.78点;英国FTSE 100指数周五持平;法国CAC 40指数周五收跌0.5%;德国DAX 30指数周五收跌0.4%。   亚洲市场收盘涨跌不一。美元指数基本持平。金价小幅下跌。(张俊) 责任编辑:zhangjun SF065相关的主题文章:

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