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【瑞通認股證牛熊證】美團早段好淡爭持 國材昨爆升 部份渣Call者換馬至價外證 美團牛65545 熊68009/ 國材中期購20821 短期購13939/ 友邦牛55910 熊63984
阿思達克 04-08 10:19
投資者對新型肺炎疫情可能導致經濟衰退的憂慮未消,加上受油價下挫拖累,道指隔晚蒸發逾900點的升幅,收報22653點,跌26點(或0.1%)。恆指昨以近全日高位24253點收市,上漲504點(或2.1%)。今早回落逾200點,一度回至24000點以下。恆指好倉(牛證及認購權證)昨淨流出逾1億港元(下同),恆指淡倉(熊證及認沽權證)同日淨流入逾1.1億元,反映投資者繼續對後市走勢偏淡。昨日恆指牛證街貨重貨區為收回價22700至22799點,而熊證街貨重貨區為收回價25100至25199點。

美團(03690)昨領漲大型科技股,一度高見98元,最終收升3.3%報97.55元,收復50天線。股份自業績後重返90元之上爭持,但一直受制於放榜翌日高見的96.9元,昨終見突破,技術形態向好。美團今早好淡爭持,高位重返98元,留意後市有否機會挑戰100天線(約99.5元)和百元大關阻力。昨有588萬元淨流出其好倉,淡倉同日則有5萬元淨流入。

券商對中國水泥板塊樂觀,指內地持續復工復產,水泥需求穩步恢復,相信水泥及熟料價格短期將會漲價。中國建材(03323)昨在成交配合下突破8至8.6元水平的橫行區間,一度飆升8.5%至9.2元,收市仍大漲近8%,報9.15元。由近期低位6.38元快速彈升超過43%,已重上各移動平均線。股份今早回吐近2%,考驗9元關口支持。昨有近380萬元淨流出其好倉;隨著國材股價昨日大升,昨即市所見,有部份本身持其認購的投資者,手上的證娛成價內,或沽貨先行鎖定利潤,再換馬至價外證,以維持槓桿。

友邦(01299)昨收升2.5%於72.65元,為全日最高位。股份連升四個交易日,累漲4.2%。今早隨市跌1%,下試72元,即市留意70元關口支持,向上留意可否收復下移中的50天線(74.05元)。昨分別有98萬和63萬元淨流出其好倉和淡倉。

資金重投金市,紐約期金周一創逾七年收市新高後,隔夜則稍為回落,仍處1683.7美元的近期相對高位。SPDR金ETF(02840)昨曾升2%至1217元,其後以全日最低位1201元收市,升幅收窄至0.7%,但仍連升三日累漲3.27%。SPDR金ETF今早於1200元關口附近好淡爭持。昨有129萬元淨流出其好倉,淡倉同日則有12萬元淨流入。

瑞通相關認股證之選擇:

恆指輕微價外、中年期購25622,行使價:25920點,2020年10月到期,實際槓桿:8.5倍

美團貼價、短期購12277,行使價:98.85元,2020年6月到期,實際槓桿:7.2倍

美團輕微價外、中短期沽22255,行使價:88.83元,2020年9月到期,實際槓桿:3.8倍

國材輕微價外、中短期購20821,行使價:10.38元,2020年9月到期,實際槓桿:4倍

國材輕微價外、短期購13939,行使價:9.89元,2020年6月到期,實際槓桿:5.9倍

友邦輕微價外、中短期購25512,行使價:77.93元,2020年9月到期,實際槓桿:8倍

友邦貼價、中短期沽25514,行使價:70.93元,2020年9月到期,實際槓桿:4.5倍

S金輕微價外、中短期購25524,行使價:1360元,2020年10月到期,實際槓桿:6.7倍

騰訊輕微價外、短期沽22039,行使價:365.85元,2020年6月到期,實際槓桿:7.7倍

瑞通相關牛熊證之選擇:

恆指熊證56006,收回價:24690點,槓桿比率:22.4倍

美團牛證65545,收回價:92.1元,槓桿比率:9.7倍

美團熊證68009,收回價:101.8元,槓桿比率:12.7倍

友邦牛證55910,收回價:64.1元,槓桿比率:7.8倍

友邦熊證63984,收回價:77.99元,槓桿比率:9倍

阿里牛證65521,收回價:178.9元,槓桿比率:11.8倍

阿里熊證56420,收回價:198.9元,槓桿比率:16倍

海油牛證55963,收回價:6.98元,槓桿比率:4.6倍

海油熊證54444,收回價:9.48元,槓桿比率:7.1倍

舜光牛證55936,收回價:99.9元,槓桿比率:6倍

舜光熊證56406,收回價:122.8元,槓桿比率:7.4倍

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。~

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