Dax closes lower amid fragile iran war ceasefire

Germany's DAX index fell 1.1 percent on Thursday, closing at 23,807 points. Investors are wary of the fragile two-week ceasefire in the Iran war and Israeli airstrikes in Lebanon. US Federal Reserve minutes are also weighing on sentiment.

Following a strong gain on Wednesday, sentiment soured at Germany's stock market. The DAX surged 5.1 percent to 24,080 points yesterday, buoyed by the announced ceasefire. It closed 1.1 percent lower at 23,807 points today.

The ceasefire in the Iran war appears fragile. Despite the agreement, heavy Israeli airstrikes hit Lebanon on Wednesday and Thursday. The Strait of Hormuz, vital for oil and gas shipping, remains impassable for most vessels.

Minutes from the Federal Reserve's latest meeting indicate a growing number of members view a rate hike as necessary to curb inflation. The key rate was held at 3.50 to 3.75 percent in March.

Oil prices rebounded slightly after a sharp drop the previous day. Brent for June delivery stood at 96 US dollars per barrel at Thursday's close, up about two percent.

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Wall Street traders celebrate stock market rally on screens showing Dow Jones and BMV surges after US-Iran truce news.
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Markets rally after US-Iran two-week truce announcement

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Wall Street and Mexico's BMV stock markets closed sharply higher on Wednesday, reacting to Tuesday's post-market announcement of a two-week truce between the US and Iran—including negotiations and gradual reopening of the Strait of Hormuz—following President Trump's ultimatum. The Dow Jones surged 2.85%, while the BMV's IPC climbed 2.47%. The Mexican peso strengthened up to 1.9% against the dollar.

The DAX gained 0.5 percent on Monday, closing at 23,564 points, despite concerns over a possible escalation in the Iran war. US President Trump demanded support from NATO partners. The German government rejects deploying warships.

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The DAX closed unchanged at 22,636 points on Tuesday amid uncertainty from the Iran conflict. The index dipped as much as 1.2 percent intraday, following Monday's gains. US President Donald Trump extended an ultimatum to Tehran.

米イラン間の緊張とイスラエルをめぐる紛争の長期化により原油価格が上昇し、世界市場は急落した。アジアの株式市場や先物は下落し、投資家は戦闘の長期化に備えている。インフレ圧力の高まりを受け、中央銀行による利下げへの期待は低下している。

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水曜日のインド株式市場の指標であるSENSEX指数とNifty指数は、米イラン間の停戦合意により原油価格が下落しインフレ懸念が和らいだことを受け、ここ数年で最大の上げ幅を記録した。BSE(ボンベイ証券取引所)に上場する企業の時価総額は16兆1000億ルピー増加した。しかし、停戦には不安定な兆候も見られ、アジアの株式市場では慎重な姿勢が強まっている。

米イスラエルによるイラン攻撃で最高指導者アヤトラ・アリ・ハーメネイ師が死亡——前回の暗号資産市場のボラティリティに関する報道で詳述——との報に続き、金価格は2%上昇、原油は7%以上急騰し、中東情勢の緊迫化に伴う安全資産需要を反映した。

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The Colombian dollar closed lower on March 13, 2026, affected by statements from President Donald Trump and Iranian leader Mojtaba Khamenei regarding the Middle East war. Tensions in the Strait of Hormuz drove oil price increases, raising investor alerts. U.S. and IEA measures aim to stabilize supply, but escalation continues.

 

 

 

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