交易暂停后首尔股市下跌8%

周一上午晚些时候,韩国交易所(KRX)结束20分钟交易暂停恢复交易后,韩国股市暴跌超过8%。此次下跌发生在美以对伊朗最近袭击引发的极端波动中,KOSPI指数下跌超过450点。全球能源价格波动和低于预期的美国就业数据也拖累市场。

周一上午11:02,基准KOSPI指数下跌450.57点,即8.07%,至5,134.3。韩国交易所(KRX)于上午10:31启动熔断机制,在KOSPI暴跌452.8点,即8.11%,至5,132.07后,暂停交易20分钟。 熔断机制在指数较前一交易日水平低8%并持续一分钟时触发。上周三,KRX也曾启动熔断,因为主要指数暴跌12.06%,这是自2001年9月12日美国9·11恐怖袭击以来最陡单日跌幅。 早盘时,卖方侧车被激活,暂停卖单5分钟,此机制在KOSPI 200期货指数变动5%或以上并持续至少一分钟时触发。 投资者正在关注全球能源价格波动,美国基准西德克萨斯中质油(WTI)原油周日(美国时间)突破每桶100美元。市场还对上周公布的低于预期的美国就业数据做出反应,二月非农就业人数减少92,000,远低于预期增加59,000。 韩元兑美元报1,496.3,下跌19.9韩元。此事件凸显了近期地缘政治紧张和经济指标对韩国股市的影响。

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Panicked traders on Seoul's KOSPI floor amid screens showing 12% plunge and headlines of US-Israeli strikes on Iran.
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Seoul stocks plunge over 12% amid Middle East tensions

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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.

The Korea Exchange (KRX) on Tuesday triggered a sell-side circuit breaker, halting trading for five minutes after a sharp drop in the KOSPI 200 Futures index amid market fears over U.S. and Israeli airstrikes on Iran. The index fell 5.09 percent to 890.05, marking the first such event since January 6. Escalating Middle East tensions are rippling through South Korea's stock market.

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South Korean stocks surged over 4% on February 3, rebounding from the previous day's drop and triggering a buy-side circuit breaker. The Korea Exchange halted trading for five minutes at 9:26 a.m., the first such activation since last year. Institutional and foreign investors bought up heavyweight shares amid bargain hunting.

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.

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Seoul stocks plunged 4.47% on U.S. President Donald Trump's renewed threats against Iran, closing the benchmark KOSPI at 5,234.05 after a 244.65-point drop. The Korean won weakened to 1,519.7 against the dollar. Hopes for a swift end to the monthlong Middle East war faded, driving global oil prices higher.

South Korean shares opened nearly 1 percent higher Friday amid hopes the U.S.-Israel war against Iran may end sooner than expected. The benchmark KOSPI rose 0.94 percent to 5,817.11, while the won rebounded from its 17-year low.

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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.

 

 

 

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