股市资讯 | 谷歌母公司第一季度财报超预期发布!投资者可继续关注大型科技企业财报

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美国股市

美东时间4月23日16:00(北京时间4月24日04:00),道指跌14.25点,或0.06%,报24,448.69点;标普500指数涨0.15点,或0.01%,报2,670.29点;纳指跌17.52点,或0.25%,报7,128.60点。

在最近科技板块连遭挫折后,投资者本周将继续关注一些大型科技企业的财报,其中包括谷歌(1067.45, -5.51, -0.51%)的母公司Alphabet、Facebook(165.84, -0.44, -0.26%)以及推特(Twitter(31.22, -0.69, -2.16%))等。

 

谷歌母公司公布第一季度财报

24日讯,谷歌母公司Alphabet (GOOGL)(GOOG)在美股市场周一收盘以后公布了该公司的2018财年第一季度财报。

报告显示,Alphabet第一季度营收和每股收益双双超出华尔街分析师预期。在截至3月31日的这一季度,Alphabet的每股收益为9.93美元,较上年同期增长73%,这一业绩超出分析师此前预期。

财经信息供应商FactSet调查显示,分析师此前平均预期Alphabet第一季度每股收益为9.28美元。营收于这一季度为311.5亿美元,同比增长26%,也超出分析师此前预期。

汤森路 透调查显示,分析师平均预期Alphabet第一季度营收为302.9亿美元。第一财季付费点击增长55%。不过,Alphabet一季度财报并非全是好消息。当季TAC成本达到63亿美元,同比猛增37%,占营收的24%。运营利润从去年同期的27%降至22%,创2012年以来新低。

 

美国经济2018年第一季度后或将迎来春天

2018年前三个月也是如此。根据一项市场调查,经济增速可能从前三季度的2.9 %、3.2 %和3.1 %放缓至约2 %。

预期的经济放缓并不令人震惊。首先,在过去的15年里,这种情况屡见不鲜。增长开始缓慢,然后在今年剩余时间里加速。

上周,第一个暗示来自3月份零售额的回升,打破了连续三次下滑的局面。与此同时,本周有关消费支出和消费者信心的报告预计将显示,美国人对经济仍然非常乐观。

难怪。失业率处于17年来的最低点。职位空缺率接近历史新高。最近的减税和联邦退税使人们的口袋里有了更多的钱。

经济学家预测,GDP将在春季回升3.2 %。

摩根士丹利的经济学家写道:“令人失望的第一季度财报不太可能预示着令人担忧的经济放缓,我们预计第二季度将出现反弹。

 

香港股市

4月23日开盘,港股恒生指数低开0.3%,中兴事件持续发酵手机设备股持续大跌,拖累恒指一度跌逾0.7%,之后逐步回升,午后维持震荡,截止收盘,恒生指数跌0.54%,报30254.4点。

蓝筹股方面,舜宇光学科技跌6.67%,报133港元,领跌蓝筹。蒙牛乳业跌2.47%,报27.6港元;吉利汽车跌2.05%,报21.45港元;恒生银行跌1.7%,报191港元。

内房股下跌,雅居乐集团跌4.7%,报15.4港元;合景泰富跌3.36%,报10.36港元;中国恒大跌2.61%,报24.25港元;绿城中国跌2.51%,报10.1港元;万科企业跌1.52%,报32.3港元。

医药股下跌,药明生物跌6.73%,报71.35港元;BBI生命科学跌3.38%,报3.14港元;泰凌医药跌5.85%,报1.93港元;中国中药跌3.77%,报6.12港元。

中国股市

截至4月23日收盘,上证综指跌0.11%,报3068.01点;深证成指跌0.75%,报10330.63点;创业板、中小板指盘中跳水,最终分别收跌1.67%、1.25%。

交投活跃度方面,沪深两市共成交3938.02亿元,较上一交易日的4473.01亿元,缩减534.99亿元。

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来源:东方财富网,新浪财经,同花顺,21世纪经济报道,彭博,华尔街见闻,辉立证券

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