Seoul stock market trading floor at close: Flat KOSPI amid Middle East tensions, with defense and shipbuilding gains offsetting tech losses and weakening won.
Seoul stock market trading floor at close: Flat KOSPI amid Middle East tensions, with defense and shipbuilding gains offsetting tech losses and weakening won.
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中东局势紧张,首尔股市收盘持平

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周五,首尔股市收盘持平。在中东局势紧张的背景下,投资者买入国防和造船股以抵消大型科技股的跌幅。基准指数KOSPI微跌0.18点,收于6,475.63点。韩元兑美元汇率走低。

4月24日,首尔股市在经历震荡交易后平收,基准韩国综合股价指数(KOSPI)较前一交易日的历史高点6,475.81点微跌0.18点,报6,475.63点。KOSPI指数本周累计上涨4.58%。交易量适中,成交量为8.71亿股,成交额为29.82万亿韩元(约合200.8亿美元),上涨个股数量为619只,下跌个股为236只。

科技股和汽车股领跌。市场风向标三星电子(Samsung Electronics)下跌2.23%,报219,500韩元;SK海力士(SK hynix)下跌0.24%,报1,222,000韩元。顶级汽车制造商现代汽车(Hyundai Motor)下跌3.57%,报513,400韩元;起亚汽车(Kia Corp.)下跌3.16%,报153,400韩元。国防巨头韩华航空航天(Hanwha Aerospace Industries)上涨2.67%,报1,463,000韩元;LIG Nex1(LIG Defense and Aerospace)上涨2.38%,报989,000韩元。

外资净卖出本地股票1.95万亿韩元,机构投资者净买入8077.4亿韩元,个人投资者净买入1.18万亿韩元。下午3:30,韩元兑美元汇率报1,484.50韩元,下跌3.5韩元。债券收益率上升,三年期国债收益率上升3.8个基点,至3.496%;五年期基准国债收益率上升3.1个基点,至3.683%。

受美伊谈判陷入停滞影响,投资者情绪保持低迷,但大信证券(Daishin Securities)分析师赵承彬(Cho Seung-bin)表示:“由于投资者关注稳健的企业盈利,市场情绪并未完全受到中东不确定性的压制。”美国总统唐纳德·特朗普下令海军打击在霍尔木兹海峡布雷的船只,并指出伊朗正在寻求协议,目前谈判仍在进行中。伊朗重新启动了防空系统。特朗普还表示,以色列和黎巴嫩将把停火协议延长三周。

隔夜市场,道琼斯工业平均指数下跌0.36%,纳斯达克综合指数下跌0.89%。

人们在说什么

X平台上的讨论反映出对首尔股市近乎平收的观点持中立至谨慎乐观态度,中东局势的紧张促使资金在科技股下跌的情况下转向国防类股。分析人士强调,尽管存在地缘政治风险,但市场展现出了韧性,且年初至今已取得显著涨幅,并将此次回落视为创下历史新高后的调整。

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Trading floor at Seoul's Korea Exchange showing flat KOSPI amid Iran crisis, with screens highlighting slight gains in autos and defense stocks.
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Seoul shares end flat amid prolonged Iran crisis

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South Korean stocks pared early losses to close nearly unchanged on Friday amid the ongoing Middle East crisis stemming from the Iran conflict. The KOSPI index ended at 5,584.87, up 0.02 percent, while the won weakened against the U.S. dollar. Autos and defense shares led the gains.

South Korean stocks opened slightly lower on Friday amid persistent Middle East tensions and little progress in US-Iran peace talks. The KOSPI fell 7.21 points, or 0.11 percent, to 6,468.60 in the first 15 minutes of trading. The decline followed overnight Wall Street losses as investors stayed on the sidelines.

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Seoul shares closed higher by 1.4 percent on optimism over upcoming U.S.-Iran ceasefire negotiations following a two-week Middle East truce. The KOSPI ended at 5,858.87, extending weekly gains to nearly 9 percent despite lingering geopolitical concerns. Investor sentiment improved amid positive regional developments.

South Korean stocks started slightly lower on Wednesday amid uncertainties over U.S.-Iran peace talks. The benchmark KOSPI fell 0.17 percent to 6,377.42 in the first 15 minutes of trading. Investor sentiment weakened with a two-week ceasefire nearing its end.

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Korean stocks closed lower on Thursday amid escalating tensions in the Strait of Hormuz, which caused volatility in global oil prices. The KOSPI index fell 0.48 percent to 5,583.25, while the won weakened sharply to 1,481.2 against the U.S. dollar, down 14.7 won. Despite the International Energy Agency's plan to release oil reserves, investors remained cautious over fears of a prolonged conflict.

Seoul's stock market plunged for a second day, with the KOSPI index falling 12.06% to close at 5,093.54 amid fears of economic fallout from the Middle East conflict. The Korean won weakened sharply against the U.S. dollar, trading at 1,476.20 won, down 10.1 won. The downturn followed U.S. and Israeli strikes on Iran that killed Supreme Leader Ayatollah Ali Khamenei.

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Seoul stocks opened sharply higher on Monday, with the KOSPI index rising more than 1% and hitting a fresh intraday record, despite fading hopes for a US-Iran peace breakthrough over the weekend. US President Donald Trump canceled a planned trip by US negotiators to Pakistan, while Iran's Foreign Minister Abbas Araghchi headed to Russia.

 

 

 

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