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《瑞通窩輪》【瑞通認股證牛熊證】美團業績後再創新高 港交所升至4個月高位後曾倒跌 美團最貼牛54287 熊66633 / 港交購28464 沽20438/ 阿里購23447 沽23203
阿思達克 05-26 10:10
美股隔晚假期休市。恆指昨表現反覆,收報22952點,微升22點(或0.1%),不過盤中曾低見22519點,為兩個月低位。今早繼續回升,升逾300點,重越23300點。恆指好倉(牛證及認購權證)昨淨流入近3800萬港元(下同),恆指淡倉(熊證及認沽權證)同日淨流入逾8400萬元,反映投資者對後市好淡分歧。昨日恆指牛證街貨重貨區為收回價22500至22518點,而熊證街貨重貨區為收回價25000至25099點。

美團點評(03690)首季收入按年跌12.6%,同期虧損擴大至15.78億元人民幣。按非國際財務報告準則計量,上季經調整虧損為2.16億元人民幣,勝市場預期。美團昨在公布季績前飆升6.16%,以近全日高位125.8元收市,收復10天線。今早抽升約6%,高位升破134元,創歷史高位。美團昨錄超過6億元北水大手掃入。輪證資金流方面,昨有344萬元淨流出其好倉,淡倉同日則有逾2200萬元淨流入。

港交所(00388)昨以全日高位275元收市,揚升6.18%,收復上周五失地並創4個月收市新高,成交亦見配合。有傳中概股京東和網易計劃下月在港第二上市;有券商看好港交所可受惠中概股加快回流,上調其目標價;以及據報港交所正考慮縮短新股上市的招股結算周期,均為港交所股價帶來刺激。股份今早破頂,升約2%,重上280.8元,創四個月高位,惟其後升幅收窄兼曾倒跌。昨分別有373萬和733萬元淨流入其好倉和淡倉。

阿里巴巴(09988)管理層對2021新財年的收入指引為6500億元人民幣,同比增長27.5%,被市場視為偏向保守,股份昨曾跌4%,至190元邊緣,其後逐步收復失地並一度倒升,最終收報198.2元,無起跌。今早回升約2%,重返202元附近,收復10天線。昨有988萬元淨流入其好倉,淡倉同日則有逾1600萬元淨流出。

友邦(01299)連續兩日大成交急挫,昨一度瀉逾4%至61.25元的兩個月低位,收市跌幅收窄至1.56%,報63元,但兩日仍累跌10.8%。今早反彈逾2%,上試65元。昨有846萬元淨流入其好倉,淡倉同日則有361萬元淨流出。

瑞通相關認股證之選擇:

美團輕微價外、中年期購11454,行使價:152.78元,2020年12月到期,實際槓桿:5.2倍

美團價外、中年期沽11204,行使價:110元,2020年12月到期,實際槓桿:4.4倍

港交高槓桿、短期購22335,行使價:299.8元,2020年7月到期,實際槓桿:13.8倍

港交輕微價外、中年期購28464,行使價:320元,2020年12月到期,實際槓桿:8.4倍

港交貼價、短期沽20438,行使價:268.8元,2020年7月到期,實際槓桿:9.6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:8.5倍

阿里輕微價外、短期沽23203,行使價:182.08元,2020年7月到期,實際槓桿:9.5倍

友邦輕微價外、中長年期購25508,行使價:72.75元,2021年1月到期,實際槓桿:6.5倍

瑞通相關牛熊證之選擇:

恆指牛證68650,收回價:22410點,槓桿比率:22.9倍

恆指熊證51619,收回價:24238點,槓桿比率:17.5倍

美團全場最貼牛證54287,收回價:125.799元,槓桿比率:11.9倍

美團牛證54378,收回價:123.7元,槓桿比率:8.3倍

美團貼熊證50248,收回價:139.9元,槓桿比率:16倍

美團熊證66633,收回價:149.9元,槓桿比率:8倍

港交牛證53765,收回價:254.8元,槓桿比率:9.8倍

港交熊證67946,收回價:297.3元,槓桿比率:13.3倍

阿里牛證61942,收回價:184.9元,槓桿比率:9.7倍

阿里熊證54015,收回價:212.9元,槓桿比率:14.2倍

友邦牛證58172,收回價:58.5元,槓桿比率:9.2倍

友邦熊證66579,收回價:72.99元,槓桿比率:6.2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。

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