U.S. stocks open near highs, stronger oil prices suppress risk appetite
Coinpaper
2h ago
Ai Focus
U.S. stocks opened cautiously on Monday, with oil prices and U.S. Treasury yields rising. The market is focusing on this week's U.S. inflation and retail sales data.
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美股周一开盘表现谨慎,标普 500 指数和道琼斯工业平均指数仍靠近历史高位,但油价走强、中东局势不稳以及本周将公布的美国通胀数据,令市场未能延续上周的强势上涨。

周一开盘后,道指上涨 35.7 点,报 54,072.66 点;标普 500 指数下跌 0.08%,报 7,751.74 点;纳斯达克综合指数下跌 0.04%,报 26,680.44 点。市场整体波动有限,延续了高位整理状态。

摩根大通上调标普目标位

上周五,标普 500 指数收于 7,757.64 点,再创收盘新高。市场此前受到企业财报表现稳健以及美国 7 月就业数据偏弱的支撑,投资者因此押注美联储进一步激进加息的必要性下降。

摩根大通周一将 2026 年底标普 500 指数目标位从 7,800 点上调至 8,000 点,同时把 2026 年每股收益预期从 350 美元上调至 365 美元。该行认为,企业盈利改善,以及市场对 AI 支出转化为收入增长的信心增强,是上调预测的主要原因。

油价与收益率抬高观望情绪

不过,推动股指继续上行的力量并不稳固。布伦特原油周一升破每桶 84 美元,交易员继续关注围绕霍尔木兹海峡的谈判进展。能源价格上行提振了石油相关股票,但也加大了市场对航空和旅游企业燃料成本的担忧。

与此同时,美国 10 年期国债收益率上升约 3 个基点至 4.671%,部分回吐了上周五非农就业数据公布后的跌幅。若收益率继续走高,估值较高的科技股可能面临更大压力。

个股与数据周成为下一焦点

个股方面,英特尔在宣布 150 亿美元股票发行计划后下跌,苹果则因杰富瑞下调评级而走弱。伯克希尔哈撒韦在披露运营利润改善后上涨。

接下来,市场将把焦点转向本周三公布的美国 7 月 CPI、周四的 PPI,以及周五的零售销售数据。这组数据将影响投资者对通胀和利率路径的判断,也可能决定标普 500 指数和道指能否继续维持在纪录高位附近。

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