Financial Wire

US Equity Investors to Focus on Geopolitical Risk While Earnings Season Gathers Momentum

-- US equity investors will focus on mounting geopolitical risk in the Middle East while keeping an eye on Q1 earnings and retail sales.

* Iran vowed retaliation after the US Navy seized an Iranian cargo ship in the Gulf of Oman, endangering the planned second round of negotiations in Pakistan this week to find a lasting solution for peace for Tehran, according to multiple media reports.

* US Vice President JD Vance and top US officials were expected to travel to Islamabad, but Iran's foreign ministry insisted there were no plans for talks, CNN reported. The ceasefire, which the US and Iran have accused each other of violating, expires on Wednesday.

* After scaling fresh records on Friday amid optimism that an Iran peace deal could materialize without extending the two-week ceasefire, the S&P 500, the Nasdaq Composite, and the Dow Jones Industrial Average futures slumped early on Monday amid concerns of an escalation of the war in the Middle East.

* West Texas Intermediate crude oil futures soared 7.2% to $89.92, and Brent crude futures jumped 6.3% to $96.10 pre-bell. Reflecting the potential impact of elevated crude oil prices on inflation, gold futures dropped 1.5% to $4,808.8, and silver futures slumped 3% to $79.37 early Monday. Similarly, most US Treasury yields rose, with the 10-year up 2.2 basis points to 4.27% and the two-year jumped 3.5 basis points to 3.74%.

* The highlight of quarterly earnings this week will be Tesla (TSLA) as well as some technology names such as Intel (INTC), IBM (IBM), Lam Research (LRCX), Texas Instruments (TXN), and SAP (SAP). Other mega-caps expected to report this week include American Express (AXP), GE Vernova (GEV), Boeing (BA), and United Health (UNH).

* In US macroeconomic data, investors will focus on retail sales, S&P Global manufacturing and services PMIs, ADP employment change, initial jobless claims, and the final read on Michigan consumer sentiment alongside Michigan inflation expectations for one and five years ahead.

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Treasury

加拿大帝國商業銀行(CIBC)表示,繼3月CPI飆升之後,加拿大4月CPI年漲幅將升至3%左右。

加拿大帝國商業銀行(CIBC)在周一公佈消費者物價指數(CPI)數據後表示,所有人都知道由於汽油價格上漲,加拿大3月份的通膨率將會飆升,但唯一的問題是通膨率會飆升到什麼程度。 CIBC指出,3月CPI年增2.4%,其中較上季漲幅為0.9%(未經季節性調整,經季節性調整後為0.5%),略低於市場普遍預期(2.6%),但較上月1.8%的年漲幅仍大幅上升。 CIBC表示,汽油價格上漲「當然」是通膨加速的主要驅動因素,目前其他領域的通膨傳導效應仍很有限。事實上,核心通膨在3月比預期更為溫和,四項指標(CPI-Trim、中位數、CPI-X以及剔除食品/能源價格後的核心通膨)較上季平均上漲0.1%,以三個月年化計算上漲1.4%。報告指出,電話服務價格當月大幅下跌,對CPI-X和剔除食品/能源價格後的核心通膨指標產生了顯著的下行影響。 展望未來,加拿大帝國商業銀行(CIBC)表示,汽油價格的進一步上漲將導致下個月整體通膨率躍升至3%左右,之後預計在5月份略有回落,部分原因是聯邦燃油消費稅的暫時中止(預計5月份整體通膨率將下降約0.2個百分點)。 報告補充說,能源價格上漲對核心通膨指標的影響可能會在夏季臨近時變得更加明顯,尤其是在機票價格上漲的影響得到更充分體現之後。但加拿大經濟內部的疲軟應該會阻止這些指標再次加速上漲,使加拿大央行能夠在2026年之前保持觀望態度。

$$CXY
Asia

匯通達網完成香港上市股份全部轉換

根據週一提交給香港交易所的文件顯示,匯通達網路(港交所代碼:9878)已完成3.497億股境內股份轉換為香港上市股份。 轉換後的股票將於4月21日(星期二)上午9時在香港交易所開始上市。 這家物流公司目前持有94.21%的香港上市股份和5.79%的境內股份。

$HKG:9878
Mining & Metals

Erdene Resource旗下Bayan Khundii礦場第一季產量完成目標的94%。

額爾登資源開發公司(ERD.TO)週一表示,位於蒙古的巴彥洪迪金礦第一季產量達到目標產量的94%。 該礦第一季實現商業化生產,共處理礦石15.1萬噸,每日平均處理量1,675噸。 巴彥洪迪金礦的平均處理量接近額定產能的90%,黃金回收率平均超過96%,超出最新可行性研究的預期。 額爾登資源開發公司表示,截至目前,該礦已生產黃金15,961盎司。 額爾登資源開發公司與蒙古礦業公司合資成立的額爾登蒙古公司,第一季實現總收入4,200萬美元,售出黃金8,527盎司及白銀3,135盎司。黃金平均價格為每盎司 4,872 美元,白銀平均價格為每盎司 80 美元。

$ERD.TO