标准普尔/多伦多证交所综合指数跌破24695点,因投资者在圣诞节和节礼日假期前缩短的交易时段保持谨慎。除医疗保健行业表现出韧性外,所有行业均出现亏损。能源生产商和银行股是最大的拖累因素,森科尔、帝国石油、加拿大天然气和Cenovus下跌0.1%至0.4%。同样,加拿大皇家银行、布鲁克菲尔德银行和道明银行也出现了相同幅度的下跌。与黄金挂钩的股票表现较好,Agnico Eagle(-0.6%)、Barrick Gold(-0.4%)和Franco-Nevada(-0.4%。加拿大市场近期面临政治不确定性和获利回吐的压力,但强劲的潜在经济基本面支撑了其表现。尽管波动较大,但该指数有望在年底以超过18%的强劲涨幅收盘。
The S&P/TSX Composite Index slipped below 24,695 as investors remained cautious during a shortened trading session ahead of the Christmas and Boxing Day holidays. All sectors were in the red, except for healthcare, which showed resilience. Energy producers and bank shares were the biggest drags, with Suncor, Imperial Oil, Canadian Natural, and Cenovus falling between 0.1% and 0.4%. Similarly, RBC, Brookfield, and TD Bank saw declines in the same range. Gold-linked stocks fared better, with Agnico Eagle (-0.6%), Barrick Gold (-0.4%), and Franco-Nevada (-0.4%) reflecting softer gold prices. The Canadian market has faced recent pressure from political uncertainty and profit-taking, but strong underlying economic fundamentals have supported its performance. Despite the volatility, the index is on track to close the year with a robust gain of over 18%.