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<Asia> Asia-Pacific Markets Mixed; Taiwan, Japan and South Korea Hit Record Highs, India and Australia Decline
US stock futures rose after US President Donald Trump extended the ceasefire agreement, while Asia-Pacific markets traded mixed. Equities in Taiwan, Japan and South Korea hit recor...
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<Europe> Germany Cuts Econ Growth Forecast; Pan-European Stoxx 600 Closes Lower
<FX> Ceasefire Talks Yet to Resume, USD Firm
<Commodity> Gold Rebounds as US-Iran Talks in Focus
US stock futures rose after US President Donald Trump extended the ceasefire agreement, while Asia-Pacific markets traded mixed. Equities in Taiwan, Japan and South Korea hit record highs, whereas markets in India and Australia declined.
The People's Bank of China conducted seven-day reverse repos in open market operations, resulting in a single-day net injection of RMB5.5 billion. Mainland markets opened lower but moved higher subsequently. The Shanghai Composite closed at 4,095 points at midday, up 10 points or 0.2%; the Shenzhen Component Index closed at 15,076 points, up 94 points or 0.6%. Hong Kong's HSI closed at 26,137 points at midday, down 350 points or 1.3%, with turnover of HKD122.9 billion. Taiwan's Weighted Index rose 345 points or 0.9% to 37,950 points, hitting an intraday record high of 38,096 points. MediaTek surged 9.8% after hitting limit-up yesterday. Hon Hai rose 4.7%, while TSMC and Delta Electronics gained 0.2% and 0.3%, respectively. ASE Technology slipped 0.7%.
Japan's Nikkei 225 rose 111 points or 0.2% to 59,460 points, reaching an intraday record high of 59,708 points. AI-related stocks remained in favor, with SoftBank up 7.7%, Kioxia up 5.7%, and Advantest up 2.3%. South Korea's KOSPI fell 2 points to 6,386 points, after touching an intraday record high of 6,404 points. Hyundai Motor and Doosan Enerbility fell more than 1%, while Samsung Electronics and SK Hynix eased about 0.5%.
India's Nifty 50 Index dropped 191 points or 0.8% to 24,385 points. Consumer stocks Nestle India, Tata Consumer Products and Hindustan Unilever rose between 1.7% and 2.6%. IT services shares declined after HCL Technologies reported results below expectations and issued a weak outlook, sending its shares down 9.4%. Peers Infosys and Tech Mahindra each fell more than 3%.
Australia's S&P/ASX 200 Index fell 90 points or 1% to 8,859 points. Financial stocks were weak, with Commonwealth Bank of Australia and Macquarie Group down 2.4% and 3.5%, respectively. Gold miner Newmont declined 1.6%, while mining giant BHP rose 1.7% after completing iron ore sales negotiations with China Mineral Resources Group. New Zealand's NZX 50 Index rose 10 points or 0.1% to 12,943 points. Singapore's Straits Times Index fell 20 points or 0.4% to 4,994 points. Singapore Telecommunications dropped 2.1%, and ST Engineering fell 1.5%. Chip testing company AEM Holdings gained 2%.
Elsewhere in Asia, markets in Malaysia, Indonesia and the Philippines fell between 0.2% and 0.4%, Thailand rose 0.1%, while Vietnam's Hanoi and Ho Chi Minh markets declined 0.2% and 0.5%, respectively. (fc/u)~
This article was automatically translated by AI, the Chinese version should be considered the authoritative version. AASTOCKS.com Limited does not guarantee its accuracy or completeness and accepts no liability for any damages or losses arising from the use of this translation.
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<Indicator> VIX Falls 1%
<Bond> US Treasury Yields Steady as Market Digests Extension of US-Iran Ceasefire
<Commodity> Gold Prices Rise as US-Iran Peace Talks May Resume
<FX>Central Banks Stay on Sidelines Over Middle East Situation; USD Edges Up
<Commodity> Iran Seizes Cargo Vessels, Brent Crude Surges Above USD100
<Indicator> VIX Index Falls 3%
Fed's Waller: Iran Conflict Raises Inflation Risks, Caution Needed on Near-Term Rate Cuts
Central Parity of USD/ RMB Loses 26 bps to 6.8648
<Asia> Asia-Pacific Markets Broadly Higher; Taiwan Sets New High, SK Hynix Up 4% in S Korea
<FX> USD Weakens on Hopes for End to US-Iran War
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