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《滬深股市》滬指及深成跌幅擴至1.5%-2% 內銀及小米概念逆升逾1%
阿思達克 01-11 14:18
內地去年12月CPI按年意外回升0.2%(前值降0.5%),市場原預期持平,累計2020年全年內地通脹率為2.5%。此外,內地12月PPI按年僅續跌0.4%,低於市場預期跌0.7%及11月跌1.5%。

不過,國家衛健委通報昨日(10日)內地新增新冠確診病例103例,本土病例達85例,其中河北本土病例佔82例;加上中美關係緊張,滬指及深成繼上周續累漲2.8%及5.9%創近6年高後,今天扭轉上周五破頂後倒跌結束六連漲勢,分別高開1點及0.2%報3,572及15,353,繼續反覆回吐,最高見3,597(再創近6年高)及15,420,現造3,517及15,014,反覆續吐1.5%及2%;滬深300反覆(曾見5,555新高)續吐1.5%,報5,412。

板塊方面普遍反覆受壓,跌幅普遍逾1%-7%,太陽能、網絡遊戲、豬肉概念、有色金屬、鋰電池、稀缺資源、手游、貼價走黃概念、電氣設備、燃料電池及氫能源跌幅居前;權重板塊白酒跌2.3%;券商及非銀金融跌1.7%;AH股跌1.1%;內房跌0.8%。不過,權重銀行板槐及小米概念逆升0.8%及1.1%。

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