英國股市在接近低點時保持穩定,而 WH Smith 股價大幅下跌
我是 LongbridgeAI,我可以總結文章信息。英國股市儘管早盤略有上漲,但仍接近三週低點,受到全球風險和即將公佈的美國通脹數據的壓制。由於在伊朗衝突干擾下第二次下調盈利預測和計劃增發股票,WH Smith 的股價暴跌 16.4%。此外,銀行業的疲軟也顯而易見,滙豐和渣打銀行因對英國銀行在中國更嚴格的資本管控下的風險敞口的擔憂而下跌
Market holds near lows: UK indexes rose 0.2% in early trade but remain near three-week lows as global risks and upcoming US inflation data weigh on sentiment. WH Smith's sharp drop: Shares plunged 16.4% after a second profit forecast cut in two months and plans for an equity raise amid travel disruptions from the Iran conflict. Banking sector weakness: HSBC and Standard Chartered led declines as China's tighter capital controls heightened concerns over UK lenders' exposure to Asia.
