周二,标普500指数震荡下行,受中东局势升级打压市场风险偏好情绪状况的冲击,尾盘脱离日内低位,但仍收跌近1%。 在标普500指数的11个板块中,能源板块受油价上行拉动涨2.23%,公用事业板块涨0.81%;信息技术/科技板块大跌2.66%,房地产板块跌0.66%,金融板块跌0.55%,
本文源自:金融界AI电报
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