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《瑞通窩輪》【瑞通認股證牛熊證】騰訊短線或上試雙頂阻力420元 港交所未止跌 騰訊牛68633 高槓桿熊63046/ 港交牛61547 熊55352/ 美團最貼牛66848 熊58929
阿思達克 05-08 10:41
美國首次申領失業救濟人數連續五星期減少,另據報中美貿易談判代表最早下周進行電話會議,討論兩國首階段貿易協議進展,利好大市氣氛。道指隔晚收報23875點,升211點(或0.8%)。恆指昨連失10天線、20天線和24000點關,收報23980點,跌156點(或0.6%),兩連升告終。今早最多回升逾200點,高位升穿24200點,其後升勢略放緩。 恆指好倉(牛證及認購權證)昨淨流入逾2900萬港元(下同),恆指淡倉(熊證及認沽權證)同日淨流出逾7300萬元,反映投資者續反手博短期大市反彈。昨日恆指牛證街貨重貨區為收回價22500至22599點,而熊證街貨重貨區為收回價25000至25099點。

騰訊(00700)昨同樣被北水摒棄,錄淨流出5.51億元。股份昨以全日最低位407.2元收市,下跌0.6%,失10天線。騰訊將於下周三公布今年首季業績,券商預期集團手遊業務依然強勁,但媒體廣告、商業支付等業務勢受疫情影響,預測騰訊首季非通用會計準則純利按年減少4.9%至增長32.2%。騰訊今早升近2%,曾升穿415元,收復10天線,短線觀察能否上破早前雙頂阻力420元。輪證資金流方面,超過2100萬元在昨日淨流入其好倉,淡倉同日則有70萬元淨流出。

阿里巴巴(09988)近日跑輸大型科企,昨再度回軟,盤中曾跌逾2%至189.5元,收市跌幅收窄至1.6%,報190.5元。今早反彈約1%,重返192元以上,留意能否突破下移中的50天線(約193.1元)阻力。昨有逾1900萬元淨流入其好倉,淡倉同日則有342萬元淨流出。

李小加於明年十月約滿後不再續任港交所(00388)行政總裁,另港交所受投資虧損影響,首季純利按年倒退13.2%至22.62億元,遜市場預期,股價昨在績後最多挫逾4%至243元,其後跌幅收窄,收市仍跌2.7%,報246.4元,為昨日表現最差藍籌。港交所是昨日北水淨流出最多的股份,錄淨流出6.52億元。不過,近日市傳京東、網易等中概股相繼申請在港第二上市,投資者對股份後市表現仍有憧憬。港交所今早先升後回,高位重上248元及10天線附近,其後下試245元。輪證資金流方面,昨有967萬元淨流入其好倉,淡倉同日則有88萬元淨流出。

據報中央力爭在今月底再發1萬億元人民幣專項債,配合兩會將於月底召開,市場憧憬將有更多利好政策出台,海螺水泥(00914)昨靠穩收市,微升0.8%報58.8元,但59元和10天線得而復失。股份今早好淡爭持,一度重上59元,留意短線可否突破60元心理關口阻力。昨日其好倉錄12萬元淨流入。

瑞通相關認股證之選擇:

恆指輕微價外、中短期購25622,行使價:25920點,2020年10月到期,實際槓桿:9.6倍

騰訊輕微價外、短期購20440,行使價:450元,2020年8月到期,實際槓桿:11.2倍

騰訊輕微價外、短期沽22257,行使價:390.2元,2020年7月到期,實際槓桿:9倍

阿里輕微價外、中短期購23447,行使價:222.88元,2020年9月到期,實際槓桿:8.4倍

阿里價外、中短期沽24809,行使價:161.88元,2020年9月到期,實際槓桿:5.5倍

港交輕微價外、中短期購23439,行使價:263.88元,2020年9月到期,實際槓桿:9.7倍

港交貼價、中年期沽21945,行使價:234.08元,2020年11月到期,實際槓桿:6.2倍

海螺貼價、短期購17418,行使價:60.8元,2020年7月到期,實際槓桿:9.5倍

瑞通相關牛熊證之選擇:

恆指牛證69732,收回價:23610點,槓桿比率:34.4倍

恆指熊證69735,收回價:24838點,槓桿比率:19.3倍

騰訊牛證68633,收回價:398.2元,槓桿比率:19.6倍

騰訊高槓桿熊證63046,收回價:427.3元,槓桿比率:23.4倍

阿里牛證61942,收回價:184.9元,槓桿比率:17倍

阿里熊證54015,收回價:212.9元,槓桿比率:8.2倍

港交牛證61547,收回價:232.8元,槓桿比率:16.2倍

港交熊證55352,收回價:258.8元,槓桿比率:13.7倍

美團全場最貼牛證66848,收回價:104.199元,槓桿比率:12.5倍

美團熊證58929,收回價:117.38元,槓桿比率:8.4倍

本結構性產品並無抵押品。

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