欧洲股市周三收盘强势走高,STOXX 50和STOXX 600均上涨0.7%,从上一交易日各自1.4%的跌幅反弹,因为市场继续评估当地财政问题。周二,由于对主要经济体债务可持续性的担忧推高了债券收益率,股市下跌,英国市场承受的压力最大。在欧元区,荷兰长期债券的流动性担忧和法国预算的财政担忧仍然是人们关注的焦点。科技板块大幅上涨,弥补了前一交易日的大部分亏损,SAP、ASML和诺基亚上涨了3%至1.8%。工业和奢侈品牌也上涨,空中客车、施耐德和路威酩轩集团上涨了3%至1.5%。相比之下,瑞士人寿在报告上半年净利润疲软后下跌约1.2%,而M&G在利润和管理资产均小幅上涨后下跌2.5%。
European stocks closed firmly higher on Wednesday, with both the STOXX 50 and the STOXX 600 gaining 0.7%, rebounding from their respective 1.4% drop in the previous session as markets continued to assess local fiscal concerns. On Tuesday, equities retreated as concerns over debt sustainability in major economies pushed bond yields sharply higher, with the UK market under the greatest strain. In the Eurozone, liquidity concerns in long-term Dutch bonds and fiscal worries in the French budget remained under the spotlight. The tech sector rose sharply to recoup most of the losses from the previous session, with SAP, ASML, and Nokia adding between 3% and 1.8%. Industrials and luxury brands were also higher, with Airbus, Schneider, and LVMH jumping between 3% and 1.5%. In contrast, Swiss Life fell about 1.2% after reporting a weaker first-half net profit, while M&G slipped 2.5% after posting a modest rise in both profit and assets under management.