U.S. Treasury yields rise, dragging down U.S. stocks; Walmart's stock tumbles after earnings release
Coinpaper
52m ago
Ai Focus
U.S. Treasury yields rebound, weighing on U.S. stocks; Walmart's earnings report leads to a decline that drags down the Dow Jones, as markets continue to digest inflation and Fed policy expectations.
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美国股市周四早盘回落,前一日短暂缓和的债市压力再度升温。美债收益率上行压制股市估值,沃尔玛在财报后下跌,也拖累道琼斯工业平均指数走弱。

早盘三大股指走低

截至美东时间周四上午 10 点左右,道指下跌约 0.6%,标普 500 指数跌约 0.2%,纳斯达克综合指数跌约 0.3%。

消费板块承压较为明显。沃尔玛公布第二季度销售表现后股价下挫,消费必需品板块一度下跌约 1.6%,可选消费板块也处于跌幅居前位置。亚马逊和特斯拉走低,不过英伟达和苹果上涨,部分对冲了大盘跌幅。

沃尔玛的表现也让市场再次关注美国消费者承受高生活成本的能力。汽油价格走高,正在继续挤压低收入群体的可支配支出。

美债收益率重新施压市场

债市仍是华尔街当天更关注的变量。10 年期美国国债收益率升至约 4.70%,30 年期国债收益率升至约 5.24%,回吐了前一交易日的部分跌幅。

收益率上升通常会推高融资成本,也会削弱高估值股票的吸引力。与此同时,这也反映出市场对通胀压力和美国政府借款规模的担忧并未消退。

  • 截至 8 月 15 日当周,美国初请失业金人数降至 20.6 万
  • 费城联储 8 月制造业指数升至 47.4,高于 7 月的 41.4
  • 该制造业指标创下 2021 年 4 月以来最高水平

美联储纪要与市场分化

美联储周三公布的会议纪要显示,通胀仍是政策制定者关注的重点。多名官员在 7 月会议上准备支持加息 25 个基点,其中有 3 名官员正式投票支持加息。

在这一背景下,本周数字资产与美股出现一定分化。文章提到,在标普 500 指数自近期高位回落之际,加密市场表现相对偏强,加密相关股票也未完全跟随大盘抛售。

市场接下来仍将紧盯长端美债收益率走势。若收益率继续上行,标普 500、道指和纳指可能继续承压;若债市趋稳,股市盘中波动有望缓和。

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