欧洲股市减少了早些时候的跌幅,但周五仍收跌,得益于欧洲下午美国股市更加乐观,投资者重新考虑了美联储降息减少的影响。欧元区STOXX 50指数下跌0.2%,收于4870点,本周下跌2%。另一方面,STOXX 600指数下跌0.8%,收于503点,受欧洲市值最大的公司诺和诺德暴跌的压力。这家制药巨头股价下跌21%,此前测试结果显示,其新的肥胖药物未达到公司设定的目标。如果欧盟成员国不增加从美国公司购买石油和液化天然气,美国当选总统特朗普的关税威胁也会对股市造成压力。金融服务提供商领跌,荷兰国际集团、慕尼黑再保险和北欧联合银行各下跌1.6%以上。另一方面,消费周期性股限制了损失,Inditex、法拉利和大众汽车各上涨了1%以上。
European stocks trimmed earlier losses but still closed lower on Friday, benefitting from more optimistic US equity markets in the European afternoon as investors reconsidered the impact of fewer rate cuts by the Federal Reserve. The Eurozone’s STOXX 50 eased 0.2% to close at 4,870, a 2% drop on the week. On the other hand, the STOXX 600 sank 0.8% to close at 503, pressured by the plunge for Novo Nordisk, the largest European company by market capitalization. The pharmaceutical giant closed 21% lower after test results showed that its new obesity drug missed the targets set by the company. Stocks were also pressured by threats of tariffs from US President-elect Trump should EU members not increase their purchases of oil and LNG from US companies. Financial services providers led the losses with ING, Munich Re, and Nordea dropping more than 1.6% each. On the other hand, consumer cyclicals limited the losses, with Inditex, Ferrari, and Volkswagen adding more than 1% each.