日经225指数盘中一度突破60000点,随后回落收跌

周四,日本日经平均股价指数一度突破60000点,但随后受获利了结盘影响转跌,收盘下跌0.75%,报59140.23点,此前曾触及60013.98点的历史新高。受油价上涨影响,中东地区的地缘政治不确定性打击了市场情绪。美国总统唐纳德·特朗普宣布延长与伊朗的停火协议一度支撑了早盘的涨势,但伊朗官员随后否认了任何协议的存在。

周四东京交易时段,日本日经平均股价指数早盘触及60013.98点的历史新高,随后走势逆转。据路透社报道,早盘的涨势受美国总统唐纳德·特朗普宣布延长与伊朗停火协议的消息推动。该指数最终收跌0.75%,报59140.23点,更广泛的东证指数(Topix)下跌0.76%,报3716.38点。

此次回调是在2月底爆发的美国与伊朗战争带来的地缘政治风险挥之不去的背景下发生的。特朗普于周二单方面宣布延长休战,但伊朗官员否认达成任何协议,并批评美国海军对伊朗海上贸易的封锁是战争行为。由于霍尔木兹海峡保持部分关闭,油价持续上涨。

三井住友信托资产管理公司首席策略师上野博之表示:“中东战争周边仍存在不确定性。霍尔木兹海峡尚未完全开放,油价仍处于高位。此前投资者因对战争即将结束的乐观情绪而买入股票。但如果指数要进一步上涨,他们需要更多积极的信号。”

涨幅主要集中在人工智能相关股票,软银集团收盘上涨3.86%,而芯片制造商Advantest和东京电子则收平。日经与东证指数之比(NT倍率)创下15.91的纪录,突显了此次行情的狭窄性。在东京证券交易所主板市场,1600只股票中,21%上涨,75%下跌,2%持平。

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Tokyo stocks plunged on March 9, 2026, as surging oil prices fueled by escalating Middle East tensions rattled investors. The Nikkei 225 average fell 5.2% to close at 52,728.72, after dipping as much as 7.6% intraday. Fears of inflation and economic slowdown intensified amid the U.S.-Israeli conflict with Iran.

Japan’s Nikkei share average fell 1.1% to 56,821.39 in morning trade on Friday, tracking losses on Wall Street amid rising geopolitical tensions between the U.S. and Iran. Technology stocks weighed heavily on the index, while the air transport sector saw sharp declines. Investors appeared cautious ahead of a three-day weekend.

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Investors in Tokyo remained on edge for a second straight day amid ongoing US-Israeli strikes on Iran, causing Japan's Nikkei share average to fall. Rising crude oil futures and a weaker yen fueled concerns over accelerating inflation. This uncertainty weighed on the equity market overall.

Seoul's benchmark Kospi index briefly topped 6,700 points on Tuesday, hitting a new intraday record driven by large-cap tech shares. The gain came ahead of first-quarter earnings from US big tech firms such as Alphabet and Meta. As of 9:15 a.m., the Kospi stood at 6,656.05, up 41.02 points or 0.62 percent.

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Indian benchmark indices Sensex and Nifty closed nearly 6% higher for the week, snapping a six-week losing streak after a ceasefire between the US and Iran. Both indices rose 1.2% on Friday. Investors adopted a risk-on approach amid reduced volatility.

Seoul shares soared more than 2 percent on April 15 to close above 6,000 for the first time since the U.S.-Iran conflict erupted in late February. The Korean won strengthened against the U.S. dollar. Hopes for U.S.-Iran peace talks and Wall Street gains drove the rally.

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South Korean stocks ended a three-day winning streak on April 17 due to profit-taking, as investors awaited developments on a possible second round of U.S.-Iran peace talks. The benchmark KOSPI fell 0.55% to 6,191.92, while the won weakened to 1,483.5 against the dollar. This came amid positive signals from U.S. President Donald Trump on weekend negotiations.

 

 

 

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