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《瑞通窝轮》【瑞通认股证牛熊证】恒指早段窄幅 部份牛证离场观望 小米引伸仍处相对高位 恒指购25519 沽27114 / 小米牛50066 熊50147 / 汇丰购27281 沽27276
阿思达克 09-18 10:26
科技股续弱,加上联储局主席鲍威尔警告经济复苏前景的不确定性,道指隔晚收报27901点,跌130点(或0.47%)。恒指昨收报24340点,跌384点(或1.56%),盘中曾低见24250点。今早好淡争持,曾一下失守24300点,其後升近百点,於24400点之上徘徊。恒指好仓(牛证及认购权证)昨净流入逾2亿港元(下同),恒指淡仓(熊证及认沽权证)同日净流出逾1.4亿元,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24000至24099点,而熊证街货重货区为收回价25000至25099点。

小米(01810)董事长雷军表示,小米今年的科研投入开支逾100亿元人民币,相当於科创板所有上市公司研发开支总和的一半,过去三年亦已投资逾100家智能设备公司。不过小米日前被副董事长林斌减持後股价走势转弱,昨跌势加剧,收挫6.4%於21.3元,是表现最差蓝筹,失守20天线。今早稍作反弹,但暂受制於22元水平。昨有逾4.3亿元北水净沽出小米。轮证资金流方面,昨有逾900万元净流入其好仓,淡仓同日则录约590万元净流出。

联储局重申将维持低利率一段时间,料低息环境至少维持至2023年,银行股弱势。汇控(00005)上日曾低见30.8元,再创逾11年新低,全日低收2.68%於30.9元,连跌第七日,RSI处超卖水平。汇控隔晚ADR反弹约1%,股份今早平开後,升幅扩大至逾1%,重上31元。昨分别有逾590万元和逾250万元净流入其好仓和淡仓。

有券商指持续有中概股回归和内地独角兽来港挂牌,有望带旺港股成交,利好港交所(00388)前景。另有传蚂蚁集团计划最早下周寻求通过港交所上市聆讯。然而,大市捱沽下,港交所昨亦要下滑逾1%,失10天线,收市企370元。今早靠稳,於370元以上徘徊,昨有逾30万元净流入其好仓,淡仓同日有逾90万元净流入。

内地进行寿险改革,早前有券商料平保(02318)明年新业务价值将大幅反弹。不过大市回落,平保结束四日升势,昨微跌0.6%,报81.75元,20天线失而复得。今早升2%,高见83.65元。昨分别有近90万元和逾10万元净流出其好仓和淡仓。

瑞通相关认股证之选择:

恒指贴价、中短期购25519,行使价:25300点,2020年12月到期,实际杠杆:11.8倍

恒指贴价、中短期沽27114,行使价:23500点,2021年1月到期,实际杠杆:8.1倍

小米价外、中短期购27277,行使价:25.9元,2021年2月到期,实际杠杆:4.5倍

小米轻微价外、中短期沽26004,行使价:18.2元,2021年2月到期,实际杠杆:3.9倍

汇丰轻微价外、中短期购27281,行使价:35元,2021年1月到期,实际杠杆:8.2倍

汇丰轻微价外、中年期沽27276,行使价:28.98元,2021年3月到期,实际杠杆:4.6倍

港交轻微价外、中短期购16345,行使价:418.88元,2021年1月到期,实际杠杆:7.6倍

港交轻微价外、中短期沽16498,行使价:323.88元,2021年2月到期,实际杠杆:6.9倍

平保轻微价外、短期购26905,行使价:88.88元,2020年11月到期,实际杠杆:15.5倍

平保轻微价外、中短期沽15053,行使价:72.8元,2021年1月到期,实际杠杆:8.6倍

瑞通相关牛熊证之选择:

恒指牛证60448,收回价:23810点,杠杆比率:38.8倍

恒指熊证65559,收回价:24990点,杠杆比率:26倍

小米牛证50066,收回价:20.38元,杠杆比率:12倍

小米熊证50147,收回价:23.28元,杠杆比率:9.4倍

汇丰牛证50812,收回价:28.1元,杠杆比率:6.2倍

汇丰熊证65578,收回价:34.38元,杠杆比率:6.8倍

港交牛证55246,收回价:358.38元,杠杆比率:23.3倍

港交熊证53792,收回价:402.8元,杠杆比率:9.6倍

平保牛证54546,收回价:79.25元,杠杆比率:17倍

平保熊证53262,收回价:91.8元,杠杆比率:8.5倍

美团牛证50726,收回价:215.999元,杠杆比率:10.5倍

美团熊证64171,收回价:262.38元,杠杆比率:7.5倍

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