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澳股收跌1.65% 塔吉特利潤壓縮 零售商全線走低
格隆匯 05-19 14:45
格隆匯5月19日丨澳大利亞S&P/ASX200指數收跌1.65%,報7064.5點。加拿大4月通脹降幅均不及預期,美國零售巨頭沃爾瑪和塔吉特業績顯示利潤大幅壓縮,市場對滯脹擔憂增強,國際原油價格走低,WTI原油期貨跌破108美元;澳大利亞4月季調後失業率錄得3.9%,創1979年有紀錄以來新低,但勞工參與率意外下降0.1%;機構表示勞動力市場的緊縮將加大進一步澳洲聯儲加息的壓力;澳債收益率下滑,5年期國債收益率下降1.13%至3.149%,10年期國債收益率下降1.48%至3.396%,澳元大幅升值,澳元兑美元漲0.73%,報0.7005。塔吉特業績導致必需消費股大跌3.52%,零售商沃爾沃斯集團和科爾斯超市跌5.61%和3.41%,百貨巨頭Metcash跌6.54%。非必需消費跌2.74%,澳洲最大零售企業之一的西農集團跌7.83%,中期税後淨利潤躍升46%的老虎機開發商Aristocrat漲6.74%。科技股跌2.72%,財務軟件公司Xero跌3.19%,Block跌2.35%,電池技術公司Novonix跌6.36%,已與國際財團Access Group達成了一項出售協議的軟件公司Reckon飆升45.14%。礦業和能源股跌1.52%和1.28%,必和必拓、力拓和FMG分別跌1.66%、1.94%和1.92%,伍德賽德石油跌2.83%。

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