随着法国和德国10年期国债收益率差距扩大至2017年以来的最高水平,富时MIB指数延续早盘跌幅,周四暴跌2.18%,收于33609点的两个月新低,与欧洲同行持平。在美国生产者价格意外下跌后,美国国债和德国债券上涨,而南欧债券因政治动荡而面临损失,导致利差扩大和市场情绪下降。在企业方面,银行和汽车行业受到的打击最为严重。依维柯集团以超过5%的亏损脱颖而出。其他显著下跌的包括锡耶纳银行、阿齐穆特银行和Mediobanca银行,均下跌近4%。相比之下,意大利电信是少数几家交易积极的公司之一,在穆迪上调其债务评级后,该公司小幅上涨0.6%。
The FTSE MIB extended its morning losses, plunging 2.18% to close at a fresh 2-month low of 33,609 on Thursday, in line with its European peers, as the spread between French and German 10-year yields widened to the highest level since 2017. US Treasuries and German bonds rose after US producer prices unexpectedly dropped, while bonds in Southern Europe faced losses due to political turmoil, leading to wider spreads and a decline in market sentiment. On the corporate front, the banking and automotive sectors were hit the hardest. Iveco Group stood out with a loss of over 5%. Other notable decliners included Banca Monte Paschi Siena, Azimut, and Mediobanca, all falling nearly 4% each. In contrast, Telecom Italia was one of the few companies trading positively, with a slight gain of 0.6%, following an upgrade in its debt rating by Moody's.