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《瑞通窝轮》【瑞通认股证牛熊证】 恒指未能企稳29000点 小米高位现射击之星 小米购20462 沽20463 牛50253 全场唯一熊50252/ 平保牛50257 熊65556
阿思达克 01-21 10:38

美股隔晚假期休市。恒指昨先升後回,收跌260点(或0.9%),报28795点,结束两连升。穆迪将香港的长期信贷评级从「Aa2」下调至「Aa3」,评级展望转为「稳定」。恒指今早下挫超过400点,回至28400点之下,连失10天和20天线。恒指好仓(牛证及认购权证)昨净流入近7000万港元(下同),恒指淡仓(熊证及认沽权证)同日净流出逾800万元,反映投资者预期港股将见技术性反弹。昨日恒指牛证街货重货区为收回价28500至28599点,而熊证街货重货区为收回价29,200至29,299点。

小米(01810)股价连升多日之後,昨日高位升近14元遇阻力,以全日低位收市,阴阳烛形态出现射击之星,於高位出现时,属於转势讯号。小米轮证昨日出现高位获利回套,好仓资金流出近1000万港元,属於最多资金流出的股份轮证。

金沙中国(01928)管理层指公司今年新春酒店订房量与去年相若,剩余的房间数量不多,并指贵宾厅虽继续调整,但调幅会收窄。不过投资者忧虑武汉肺炎疫情扩散,拖累板块昨日捱沽,金沙昨为表现最差蓝筹,大成交急泻5.89%,收报42.35元,连失10天和20天线,四连升告终。股份今早倒跌逾1%,失42元。昨有逾250万元净流入其好仓,淡仓同日则有逾160万元净流出。

工信部料今年内地汽车产销量可能是零增长或负数,吉利(00175)股价昨挫4.3%,报14.84元,五日累跌超过9%,接连失守10天、20天和50天线。吉利今早继续走软,挫逾3%,於14.4元之下整固,创近三个月低。吉利为昨日最多北水净流出的个股,净流出3.18亿元。轮证资金流方面,昨有逾1000万元净流入其好仓,淡仓同日则有逾260万元净流出。

中移动(00941)获券商由「减持」上调至「增持」,另集团上月4G净上客量按月升25.66%,股价昨在成交配合下最多涨5.74%,高见70元,收市维持3.7%的升幅,报68.65元,14日RSI升至70以上的超买水平。中移今早於68元水平整固,跌约1%,暂结束三日升势。昨日分别有510万元和48万元净流入其好仓和淡仓。

中国平安(02318)昨高开於101元创新高,但其後反覆回落,以近全日低位98.65元收市,倒跌0.9%。今早再跌近2%,於97元之下整固。昨有逾1700万元净流入其好仓,淡仓同日则有92万元净流出。

瑞通相关认股证之选择:

小米贴价、长期购20462,行使价:13.5元,2020年12月到期,实际杠杆:3.8倍

小米轻微价外、中年期沽20463,行使价:11.5元,2020年8月到期,实际杠杆:4.6倍

金沙轻微价外、中短期购15773,行使价:45.93元,2020年6月到期,实际杠杆:8.3倍

吉利轻微价外、中短期购12501,行使价:16.5元,2020年5月到期,实际杠杆:8倍

吉利价内、中年期沽20464,行使价:14.5元,2020年8月到期,实际杠杆:3.2倍

中移轻微价外、中短期购19597,行使价:72.8元,2020年7月到期,实际杠杆:9.8倍

中移价外、中短期沽14279,行使价:55.88元,2020年7月到期,实际杠杆:12.6倍

平保轻微价外、中短期购20431,行使价:109.98元,2020年6月到期,实际杠杆:10.9倍

平保贴价、中年期沽20436,行使价:91.88元,2020年7月到期,实际杠杆:7.4倍

瑞通相关牛熊证之选择:

恒指牛证59465,收回价:28210点,杠杆比率:37.1倍

恒指熊证68884,收回价:29238点,杠杆比率:24.8倍

小米牛证50253,收回价:11.5元,杠杆比率:5.6倍

小米全场唯一熊证50252,收回价:13.9元,杠杆比率:9.7倍

金沙牛证67143,收回价:34.3元,杠杆比率:5.8倍

金沙熊证68239,收回价:49.9元,杠杆比率:3.8倍

吉利牛证64261,收回价:13.9元,杠杆比率:15.1倍

吉利熊证62745,收回价:17.58元,杠杆比率:3.3倍

中移牛证58151,收回价:61.9元,杠杆比率:8.9倍

中移熊证59617,收回价:72.1元,杠杆比率:10.1倍

平保牛证50257,收回价:94.3元,杠杆比率:26.8倍

平保熊证65556,收回价:101.3元,杠杆比率:15.1倍重要风险通知

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