美国股市周五收盘走高,投资者对劳动力市场恶化的反应是买入股票。[1]政府就业报告显示,雇主上月意外裁员23,000人,同时6月和5月的就业数据被向下修正共103,000个岗位。[1]这些疲弱的劳动力市场信号促使交易员增加对美联储延迟加息的预期,推动股票上涨和债券收益率下降。
具体来看,标普500指数上升0.4%,纳斯达克综合指数上升1%,道琼斯工业平均指数上升114点(涨幅0.2%)。[1]债券市场也做出积极反应,10年期美国国债收益率从4.67%下降至4.63%,2年期美国国债收益率从4.22%下降至4.19%。[1]大宗商品方面,布伦特原油价格下跌0.6%至82.07美元/桶。[1]所有主要指数一周内处于上升轨道。[1]
U.S. equity markets surged on Friday following a disappointing employment report that sparked investor optimism about potential shifts in Federal Reserve policy. The S&P 500 rose 0.4%, while the Nasdaq Composite advanced 1%, as jobless data signaled a cooling labor market [1]. The Dow Jones Industrial Average also posted gains of 114 points, or 0.2% [1].
The catalyst for the market's rally was a government report showing employers unexpectedly eliminated 23,000 jobs in the previous month [1]. Adding to the labor market weakness, data for June and May were revised downward by a combined 103,000 positions [1]. These figures prompted market participants to anticipate that the Federal Reserve might delay future rate increases, leading to broader portfolio shifts. Treasury yields declined sharply in response, with the 10-year U.S. Treasury yield falling from 4.67% to 4.63%, and the 2-year yield dropping from 4.22% to 4.19% [1]. Crude oil prices also retreated, with Brent crude sliding 0.6% to $82.07 per barrel [1]. All major stock indices maintained their upward momentum throughout the week [1].