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《股海通胜》外围暖利港交65403牛 吉利绩後回吐29058购
阿思达克 11-08 09:27

港股上日(7号)大部分时间偏软,尾段人民币突抽升,大市跟随急升近300点至27900水平,收报27847点升158点。盘後商务部表示,中美贸易谈判有新进展,同意随协议进展,分阶段取消已加徵的关税。晚间人民币续升,美股夜期看俏,料大市仍强。投资者若看好新上市恒指牛证65886,收回价27100点为本周最近,换股比率10000:1。看淡留意恒指熊证52052,收回价28300点,杠杆约42.19倍,换股比率10000:1。

港交所(00388)上日收253元,连续三日收高於100天线,随外围形势转好,大市气氛亦回暖,有助港交所维持升势。昨晚有不少内媒报导指阿里巴巴确定下周开始在香港进行上市前的路演并以现在美股价格4%的折扣进行询价。看好留意港交牛证65403,收回价234.2元,实际杠杆11.24倍,换股比率100:1。看淡留意港交熊证52437,收回价268.2元,实际杠杆12.46倍,换股比率100:1。

吉利汽车(00175)10月销售数据看俏,10月份总销量为13.02万部,按年升1%,按月增长约14%,公司称或有望完成全年目标,一改中期业绩会的悲观口风。吉利早市曾高见15.76元後回吐,收报15.26元微升15.26元。其实吉利於6日已开始回吐,因有个别大行下调其评级至「中性」,然而在销售复苏的前提下,消化後有望再上。续看好可趁低留意吉利购证29058,行使价15.68元,实际杠杆5.07倍,到期日20年4月。或留意吉利牛证64750,收回价13.84元,实际杠杆6.63倍,换股比率50:1。

《海通国际股票衍生产品部》

请参阅:www.htiwarrants.com

注:本资料之内容由从事证券及期货条例(Cap.571)中第一类(证券交易)及第四类(就证券提供意见)受规管活动之持牌法团–海通国际证券有限公司(「海通国际 )所编制及发行,唯并不代表资料内容已获香港证券及期货事务监察委员会审批。本资料的任何内容仅供参考,并不构成对任何投资买卖的邀请或招揽、建议或推荐。结构性产品如认股证及/或牛熊证的价格可跌可升,过往的表现并非未来表现的指标。结构性产品的价值可在到期时或到期前变成零,投资者因而引致投资全盘损失。牛熊证设有强制收回机制,因此有可能提早终止,在此情况下(i)N类牛熊证投资者会损失於牛熊证的全部投资;而(ii)R类牛熊证之剩证之剩余价值则可能为零。由海通国际或其联属公司所发行的结构性产品是没有相应抵押品,投资者应当自行留意发行商的偿债能力,以判断发行商是否有能力履行其所发行的结构性产品内应负之责任和义务。如发行人无力偿债或违约,投资者可能无法收回部份或全部应收款项。投资前,投资者应仔细参阅认股证及/或牛熊证的有关上市档(及任何该档之附录)及有关补充上市档所载的详情(包括风险因素),充份了解产品的性质及风险,考虑投资是否适合投资者的个别情况,如有需要,应谘询专业顾问。海通国际为本资料提及之证券的认股证及/或牛熊证(「结构性产品」)之流通量提供者,亦可能是唯一在交易所为结构性产品提供买卖报价的一方, 因此结构性产品之第二市场可能有限。海通国际(连同其附属及其联属公司,统称「海通国际集团」)真诚努力确保所提供资料正确和完整,惟海通国际集团并不保证该等资料的完整性及准确性,亦不对任何资料的不准确或遗漏负上任何责任。海通国际证券有限公司乃海通国际证券集团成员并因此同属於海通证券股份有限公司。海通国际证券有限公司为此文提及之证券及/或该证券的衍生产品进行庄家活动。重要声明:

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