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《瑞通窩輪》【瑞通認股證牛熊證】騰訊失守320元關 美團兩日累挫8%未止跌 資金留意好倉 騰訊購22645 沽25605/ 美團牛62066 熊56353/ 工行牛56235
阿思達克 10-24 10:36

美企業績影響大市表現,另市場憧憬聯儲局月底再減息,道指隔晚收報26833點,升45點。恆指昨衝穿近期阻力26,800點之後倒跌,收報26566點,跌219點,險守10天線。今早回穩,於26700點之下徘徊。恆指好倉(牛證及認購權證)昨淨流入逾4600萬港元(下同),恆指淡倉(熊證及認沽權證)同日淨流出逾7900萬元,反映投資者預期後市將出現技術性反彈。昨日恆指牛證街貨重貨區為收回價25000至25099點,而熊證街貨重貨區為收回價27000至27099點。

騰訊(00700)近期面對政策風險,包括市場憂慮集團轉播NBA賽事,與央視立場不同,以及內地擬將網絡遊戲管理寫入《未成年人保護法》。騰訊昨沽壓沉重,以近全日低位320元收市,跌幅2.3%。今早股份走勢續弱,進一步下試一個月低位317.4元水平。中長線而言,騰訊近半年走勢呈一浪低於一浪,支持位觀察幾次底部約312至315元。昨有逾1800萬元淨流入其好倉,淡倉同日則有近70萬元淨流出。

早前強勢的美團(03690)跌勢持續,昨收跌1.7%於89元,失10天線,自歷史高位97.4元計兩日共回落逾8%。美團今早先升後回,曾升穿90元關口,其後迅速倒跌,支持位觀察20天線(約87.2元)。昨分別有近280萬元和290萬元淨流入其好倉和淡倉。

平保(02318)今日公布第三季業績,股價昨繼續受制於95元水平阻力,收市跌穿94元,但跌幅略少於大市。平保近期大致維持在93至96元之間波動上落,守於多條移動平均線之上,今早重返94元之上,或待業績公布後股價會有較明確方向。而集團早前公布今年首九個月保費收入6147億元人民幣,按年增加9.5%。昨有逾1000萬元淨流入其好倉,淡倉同日則有逾50萬元淨流出。

《施政報告》放寬按揭保險門檻後,新地(00016)維持在114元之上橫行,昨微跌不足0.5%,收報114.9元,續處主要移動平均線之上。股份今早於115元附近上落,下方10天和50天線為短期支持,向上120元關口阻力較大。昨分別有15萬元和40萬元淨流入其好倉和淡倉。

瑞通相關認股證之選擇:

騰訊貼價、短期購22645,行使價:334元,2019年12月到期,實際槓桿:15.6倍

騰訊輕微價外、短期沽25605,行使價:306.7元,2019年12月到期,實際槓桿:12.7倍

美團輕微價外、中短期購11649,行使價:101.9元,2020年3月到期,實際槓桿:6.4倍

美團輕微價外、中短期沽11650,行使價:80.93元,2020年3月到期,實際槓桿:4.4倍

平保輕微價外、中短期購23692,行使價:99.98元,2020年2月到期,實際槓桿:14.1倍

平保輕微價外、中短期沽28731,行使價:88.88元,2020年3月到期,實際槓桿:8.6倍

新地貼價、中短期購22465,行使價:120.8元,2020年3月到期,實際槓桿:9.9倍

新地輕微價外、中短期沽22467,行使價:105元,2020年3月到期,實際槓桿:7.5倍

瑞通相關牛熊證之選擇:

恆指牛證58806,收回價:26110點,槓桿比率:34.3倍

恆指N類熊證56276,收回價:27280點,槓桿比率:41.7倍

騰訊牛證56518,收回價:307.1元,槓桿比率:18.1倍

騰訊熊證59920,收回價:332.9元,槓桿比率:18.3倍

美團牛證62066,收回價:86.1元,槓桿比率:13倍

美團熊證56353,收回價:99.9元,槓桿比率:5.1倍

平保牛證54134,收回價:88.18元,槓桿比率:11.7倍

平保熊證58833,收回價:98.5元,槓桿比率:17.2倍

新地牛證61490,收回價:110元,槓桿比率:18.6倍

新地熊證52877,收回價:125.2元,槓桿比率:7.5倍

工行牛證56235,收回價:5.1元,槓桿比率:8.1倍

建行牛證55950,收回價:5.81元,槓桿比率:7.7倍重要風險通知

本結構性產品並無抵押品。

結構性產品之價格一般可急升亦可急跌,有可能損失結構性產品之全部或重大部分購買價,閣下對此應有所準備。

閣下投資前應了解產品風險,如有需要應諮詢專業建議。~重要聲明:

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