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《瑞通窝轮》【瑞通认股证牛熊证】美团曾再触及上市高位 汇控跌1%失60元关 美团购29161 沽11021/ 汇丰购22653 沽22469/ 舜光最低收回价熊证56681
阿思达克 10-02 10:18

美国制造业数据远差过市场预期,加剧市场对经济前景的忧虑,美股隔晚以近全日低位收市,道指收报26573点,跌343点(或1.3%)。

恒指周一收报26092点,升137点(或0.5%),结束「十连阴」走势。今早再度捱沽,曾下挫超过300点,其後跌幅稍为收窄,於25900点水平整固。恒指好仓(牛证及认购权证)周一净流出逾1500万港元(下同),恒指淡仓(熊证及认沽权证)同日净流入逾5500万元,反映投资者看淡港股後市。周一恒指牛证街货重货区为收回价25000至25099点,而熊证街货重货区为收回价26400至26499点。

美团(03690)连日破顶後回落,周一险守80元收市,跌幅逾1%。股份今早低开後回升,80元关失而复得,曾逆市再升至早前见的历史高位81.4元,上移中的10天线(约78.2元)为重要支持其好仓和淡仓周一分别有逾600万和160万元净流出。

已完成10亿美元回购计划的汇控(00005)周一以接近全日高位收市,报60.4元,今早则沽压明显,跌逾1%,在60元之下徘徊,暂结束3个交易日升势。另英国脱欧形势或续影响汇控股价表现。周一分别有10万和近60万元净流入其好仓和淡仓。

有报道指沙特阿美证实已完全恢复油产,国际油价受压。周一平收於11.96元的中海油(00883),今早跌1%,於11.8元水平整固。中海油自九月中旬急涨至12.94元高位後无以为继,逐步回落并连失多条主要平均线,迄今累跌逾8%。其好仓和淡仓周一分别有5万和10万元净流出。

澳门九月博彩毛收入按年升0.6%,首9个月累计则按年跌1.7%。银娱(00027)周一曾重上49元,收升近1%於48.75元。今早走势反覆,曾回落至48元之下,其後变成好淡争持。周一分别有近90万和140万元净流入其好仓和淡仓。

瑞通相关认股证之选择:

美团轻微价外、中年期购29161,行使价:88.3元,2020年4月到期,实际杠杆:5.1倍

美团轻微价外、中短期沽11021,行使价:70.93元,2020年2月到期,实际杠杆:4.3倍

汇丰贴价、中短期购22653,行使价:60.8元,2020年3月到期,实际杠杆:12.7倍

汇丰轻微价外、中年期沽22469,行使价:55元,2020年3月到期,实际杠杆:9.5倍

海油价外、中短期购20988,行使价:13.98元,2020年2月到期,实际杠杆:8.1倍

海油轻微价外、中年期沽24686,行使价:10.38元,2020年6月到期,实际杠杆:4倍

银河贴价、中短期购19640,行使价:50.88元,2020年1月到期,实际杠杆:7.7倍

银河轻微价外、短期沽19642,行使价:44.8元,2019年12月到期,实际杠杆:8.3倍

瑞通相关牛熊证之选择:

恒指牛证54448,收回价:25310点,杠杆比率:35.9倍

恒指N类熊证56675,收回价及行使价:26480点,杠杆比率:31.9倍

汇丰牛证54136,收回价:55.5元,杠杆比率:10.3倍

汇丰熊证53223,收回价:63.9元,杠杆比率:9.2倍

海油牛证55664,收回价:11.38元,杠杆比率:13.6倍

海油熊证52998,收回价:13.13元,杠杆比率:7.4倍

银河牛证55289,收回价:46.88元,杠杆比率:12.5倍

友邦牛证57802,收回价:70.07元,杠杆比率:14.8倍

友邦熊证56677,收回价:77.9元,杠杆比率:14.8倍

舜光场内最低收回价的熊证56681,收回价:119.9元,杠杆比率:10.3倍重要风险通知

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