周二,印度BSE Sensex指数下跌约0.4%,收于82030点,这是连续第二天下跌,由于对美中贸易紧张局势再次升级的新担忧,市场普遍抛售。中国和美国实施的港口费今天生效,揭开了世界两大经济体之间贸易战的新篇章。在国内,迄今为止第二季度业绩不佳和通胀数据疲软加剧了人们对需求疲软的担忧,加剧了获利回吐活动。对美印贸易协定的持续乐观情绪缓和了市场情绪。在股市方面,Bajaj Finance、巴拉特电子、塔塔钢铁、特伦特、TCS和亚洲涂料是跌幅最大的公司,跌幅在1.5%至1.9%之间。尽管HCLTech保持了3%-5%的年收入增长预测,并超过了第二季度的收入预期,但该公司放弃了早期的收益并略有下跌。相比之下,Tech Mahindra(+1.3%)、ICICI Bank(+0.4%)、Hindustan Unilever(0.4%)和Power Grid(0.4%)是唯一的赢家。
India's BSE Sensex closed about 0.4% down at 82,030 on Tuesday, the second day of losses, amid broad-based selling due to fresh concerns over a renewed escalation of US-China trade tensions. Port fees implemented by China and the US came into effect today, opening a new chapter in the trade war between the world’s two largest economies. Domestically, the combination of unimpressive Q2 results so far and softer inflation data heightened concerns about weak demand, intensifying profit-taking activity. Market sentiment was tempered by ongoing optimism over the US-India trade agreement. On equities, Bajaj Finance, Bharat Electronics, Tata Steel, Trent, TCS, and Asian Paints were the top losers, down between 1.5% and 1.9%. HCLTech gave up early gains and fell slightly, despite keeping its annual revenue growth forecast of 3%-5% and beating Q2 revenue estimates. By contrast, Tech Mahindra (+1.3%), ICICI Bank (+0.4%), Hindustan Unilever (+0.4%), and Power Grid (+0.4%) were the only gainers.