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恆指跌幅曾擴至逾300點失25,800 銀行股/騰訊/港交所領跌 惟瑞聲逆彈逾2%
阿思達克 10-02 10:42

美國9月ISM製造業指數意外收縮惡化至47.8逾十年低,加上8月季調後建築開支僅微升不及預期,市場憂慮中美貿易戰可能拖累美國及環球增長經濟增長,美股於10月首個交易日在工業、資源及銀行股主導全面低收吐1.1%-1.3%,道指跑輸扭轉早段續升逾百點,轉跌343點或1.3%失守26,600。亞太區股市今早全面受壓,尤其是韓股及澳股吐逾1%。

恆指繼國慶假前夕倒升逾百點後,今早假後復市低開190點或0.7%,跌幅曾擴至314點,低見25,778喘定,現造25,879,回吐213點或0.8%,成交額223億元。

藍籌股普遍向下,重磅股騰訊(00700.HK)低見323.2元,現造324.6元,跌1.7%;但瑞聲(02018.HK)低開見40.95元獲承接,掉頭高見42.7元,現造42.4元,逆彈2.2%。

銀行股全面跌1%-1.9%,匯控(00005.HK)、工行(01398.HK)及中銀(02388.HK)沽壓最大,分別報59.65元、5.18元及26.1元。港交所(00388.HK)吐1.7%報226.2元,失守10天線。

內需股恆安(01044.HK)、吉利(00175.HK)及萬洲(00288.HK)跌1.8%/1.4%/1.1%,分別報50.45元、13.12元及6.94元。

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