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《瑞通窝轮》瑞通认股证牛熊证恒指弹400点重返两万六重磅股汇控、腾讯齐升2%恒指牛53353熊53221/腾讯购19176沽19175/汇丰购22653沽22469
阿思达克 08-19 10:29

美国剔除部分中国货须於9月加徵10%关税,加上市场消化美国国债孳息率短暂「倒挂」利淡消息,道指上周五上升306点(或1.2%),至25886点。不过总结全周,道指仍连跌三周。

恒指上周五收报25734点,升238点(或0.9%),连升三日,但全周计下跌。港股连跌四周,累挫逾一成。承接美股升势,恒指今早再升约400点,重返26100点之上,技术上收复10天线(约25775点)。恒指好仓(牛证及认购权证)上周五净流出逾8000万港元(下同),恒指淡仓(熊证及认沽权证)同日净流入逾7100万元,反映投资者看淡港股後市续弱。上周五恒指牛证街货重货区为收回价24800至24899点,而熊证街货重货区为收回价25880至25899点。

美国、英国上周先後出现债息倒挂,引发投资者对经济前景的忧虑,加上汇控(00005)近日接连有高层离任,拖累其股价月内累挫一成,曾低见55.8元的近三年低位,14日RSI处极度超卖水平,主要移动平均线亦向下走。股份上周五跌势稍见喘定,力守56元,今早反弹近2%,重返57.5元附近。集团持续回购股份,以及现水平股息率约七厘,或令股价在低位获承接。上周五有近420万元净流入其好仓,淡仓同日则有逾120万元净流出。

腾讯(00700)公布中期业绩後被多间大行下调目标价,上周五逆市跌逾1%。不过,股份今早回升超过2%,曾迫近335元水平,即市反弹阻力观察250天线(335.8元) 及10天线(336.1元),支持则可参考日前低位325.8元。上周五有逾3100万元净流入其好仓,淡仓同日则有逾2200万元净流出。

华府早前对华为给予90天的禁令宽限期,今日(19日)届满,5G相关股上周捱沽。中国铁塔(00788)上周四及五均为北水沽出最多的个股,分别净流出超过1.4亿元和7500万元,铁塔股价已连跌4个交易日,累挫6.2%。其後有报道传华为禁令宽限期将获延长,铁塔今早反弹逾2%,重返1.8元之上,约1.9元的10天线为首个上望目标。上周五分别有215万元和4万元净流入其好仓和淡仓。

早前累跌甚深的地产股连日反弹。长实(01113)上周五急升4%,盘中高位曾升穿54元,今早曾再升逾2%,高见55元水平,其後升幅稍为收窄。另集团近日就大埔凤园一幅综合用地,向城规会申请改划住宅发展,将提供约1462个住宅单位。上周五有18万元净流出其好仓,淡仓同日则有26万元净流入。

瑞通相关认股证之选择:

汇丰轻微价外、中年期购22653,行使价:60.8元,2020年3月到期,实际杠杆:10.3倍

汇丰贴价、中年期沽22469,行使价:55元,2020年3月到期,实际杠杆:6.9倍

腾讯贴价、中短期购19176,行使价:346元,2019年11月到期,实际杠杆:9.8倍

腾讯贴价、中短期沽19175,行使价:314.8元,2019年11月到期,实际杠杆:8.5倍

铁塔轻微价外、中短期购29681,行使价:2元,2019年11月到期,实际杠杆:7.9倍

长实轻微价外、中年期购22479,行使价:60.28元,2020年4月到期,实际杠杆:6.8倍

友邦贴价、短期购19276,行使价:79.93元,2019年10月到期,实际杠杆:13.1倍

友邦轻微价外、中短期沽21926,行使价:72.83元,2019年12月到期,实际杠杆:8倍

新地轻微价外、中短期购20140,行使价:129.8元,2020年1月到期,实际杠杆:11.5倍

新地轻微价外、中年期沽22467,行使价:105元,2020年3月到期,实际杠杆:6.5倍

舜光价外、中短期购12455,行使价:128.8元,2019年12月到期,实际杠杆:7.9倍

瑞通相关牛熊证之选择:

恒指牛证53353,收回价:25310点,杠杆比率:29.7倍

恒指熊证53221,收回价:26590点,杠杆比率:32.2倍

腾讯牛证64245,收回价:316.5元,杠杆比率:15.8倍

腾讯熊证53356,收回价:345.5元,杠杆比率:19.7倍重要风险通知

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