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《瑞通窝轮》【瑞通认股证牛熊证】恒指先升後回 腾讯跌幅扩大考验320元支持 恒指N牛53421 熊54231/ 腾讯购19176 沽19175/ 石药购14809
阿思达克 08-28 10:46

中美贸易谈判进展不明朗,加上美债息倒挂加深,引起市场对经济前景的担忧,道指隔晚下跌120点(或0.5%),收报25777点。

港股昨缺乏方向,恒指收报25664点,跌16点。今日为期指结算日前夕,早段曾升逾100点,一度重上25800点,惟其後升幅收窄并曾倒跌。恒指好仓(牛证及认购权证)昨净流入逾2100万港元(下同),恒指淡仓(熊证及认沽权证)同日净流入逾2300万元,反映投资者对後市好淡分歧。昨日恒指牛证街货重货区为收回价25200至25299点,而熊证街货重货区为收回价26400至26499点。

有传腾讯(00700)旗下腾讯音乐娱乐正在接受国家市场监督管理总局的调查,调查包括其与唱片公司签订的独家许可协议。另外,腾讯主要股东Naspers计划将旗下国际互联网资产以新成立的Prosus名义下月分拆到阿姆斯特丹上市,估值将接近1000亿美元。腾讯近日於相对低位渐趋窄幅横行,今早向下,跌近2%,逐步考验320元关口之支持力,留意向上可否挑战现处331.7元的10天线。腾讯之港股通昨录4.66亿元北水净买入。轮证资金流方面,昨分别有705万元和427万元净流入其好仓和淡仓。

小米(01810)总裁林斌在公司业绩後减持股份套现3.7亿元,部份用作慈善用途,并承诺一年内不再减持。另小米近日有广告掀起政治风波,被官媒狠批後修改。绩後股价走势转弱的小米,昨在临收市前急升,收报8.79元,升1%。今早回调约1%,徘徊在8.7元附近。现时小米的10天和20天线处8.9元以上,可视作短期反弹阻力,下方支持参考上市低位8.37元。昨分别有94万元和25万元净流入其好仓和淡仓。

碧桂园(02007)连续两日回购,共涉资逾2.2亿元。股份昨抽升3.8%,报10.1元,收复20天线,今早回落超过1%,失守10元关口。昨分别有73万元和8万元净流入其好仓和淡仓。

MSCI昨日收市後提升A股纳入因子,中国人寿(02628)A股昨收升2.9%,H股则冇升跌,报18.28元。今早股份升约1%,於18.5元附近水平争持,守稳10天线。昨分别有21万元和35万元净流出其好仓和淡仓。

瑞通相关认股证之选择:

腾讯轻微价外、短期购19176,行使价:346元,2019年11月到期,实际杠杆:11.9倍

腾讯贴价、短期沽19175,行使价:314.8元,2019年11月到期,实际杠杆:8.4倍

小米轻微价外、中短期购23042,行使价:9.5元,2020年1月到期,实际杠杆:7.8倍

碧桂价外、中短期购18754,行使价:12.12元,2020年2月到期,实际杠杆:5.3倍

国寿贴价、短期购14251,行使价:18.9元,2019年11月到期,实际杠杆:9.4倍

国寿轻微价外、中年期沽22824,行使价:17元,2020年3月到期,实际杠杆:5.5倍

石药轻微价外、短期购14809,行使价:17.28元,2019年11月到期,实际杠杆:6倍

建行轻微价外、中短期购21933,行使价:6.38元,2020年2月到期,实际杠杆:11.1倍

吉利轻微价外、短期购19174,行使价:13.2元,2019年11月到期,实际杠杆:6倍

比迪价外、中年期购22464,行使价:47.8元,2020年2月到期,实际杠杆:5.7倍

瑞通相关牛熊证之选择:

恒指N类牛证53421,收回价:25120点,杠杆比率:44.3倍

恒指熊证54231,收回价:26290点,杠杆比率:28.9倍

腾讯牛证64306,收回价:310.1元,杠杆比率:19.3倍

腾讯熊证53356,收回价:345.5元,杠杆比率:12.7倍

国寿牛证54135,收回价:17.23元,杠杆比率:10.1倍

国寿熊证52996,收回价:19.8元,杠杆比率:9.3倍

平保牛证58020,收回价:84.6元,杠杆比率:13.8倍

平保熊证52305,收回价:94.9元,杠杆比率:12.8倍

美团牛证54039,收回价:63.1元,杠杆比率:4.7倍重要风险通知

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