俄羅斯股市收盤下跌,MOEX指數跌0.54%




俄羅斯股市收盤下跌;MOEX俄羅斯指數下跌0.54%

俄羅斯莫斯科股市在星期三收盤時,因為礦業、電信和電力行業的損失,導致股市普遍下跌。

在莫斯科收盤時,MOEX俄羅斯指數下跌0.54%。

在MOEX俄羅斯指數中,表現最佳的股票是VK公司(MCX:VKCO),上漲了9.17%,即28.40點,收於338.00。而PIK SHb PJSC(MCX:PIKK)則上漲了6.45%,即32.00點,收於528.00;Unipro PJSC(MCX:UPRO)也上漲了2.62%,即0.05點,收於2.00。

表現最差的股票包括莫斯科信用銀行PAO(MCX:CBOM),下跌了1.62%,即0.15點,收於9.36;馬金托戈爾斯基冶金廠PAO(MCX:MAGN)則下跌了0.68%,即0.27點,收於38.46;而MMC諾里爾斯克鎳業PJSC(MCX:GMKN)下跌了0.43%,即0.50點,收於119.50。

在莫斯科證券交易所中,上漲的股票數量為153隻,下降的則有90隻,10隻保持不變。

俄羅斯波動指數(RVI),衡量MOEX俄羅斯指數期權的隱含波動性,下降了6.69%,至37.67。

2月份交割的黃金期貨上漲了1.41%,即37.90美元,達到每盎司2,720.20美元。在其他商品交易中,3月份交割的原油價格上漲了3.47%,即2.65美元,達到每桶79.02美元,而3月份布倫特原油合約上漲了3.08%,即2.46美元,交易價格為82.38美元。

美元/盧布匯率下跌了0.82%,至102.50,而歐元/盧布則下跌了0.31%,至105.53。

美國美元指數期貨下跌了0.14%,至108.96。

這一情況不僅反映了俄羅斯股市的整體疲弱,也揭示了某些行業的潛在風險。隨著地緣政治緊張局勢的持續,投資者對於俄羅斯市場的信心可能會受到影響。尤其是礦業和能源行業,這些行業的波動性往往與國際市場息息相關,未來的發展值得關注。

此外,儘管黃金和原油價格有所上漲,但整體市場的動盪使得投資者需要更加謹慎。這也提示我們,金融市場的變化不僅受經濟數據影響,也受到政治和社會因素的驅動,因此,投資者應該時刻保持警惕,隨時調整自己的投資策略。

以上文章由特價GPT API根據網上資料所翻譯及撰寫,過程中沒有任何人類參與 🙂

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