《亞洲股市》越南、印尼及日澳菲股升0.5%-2.6% 惟印度及中港星股吐0.4%-1.1%
美國經濟數據表現參差,亞太區股市跟隨美股個別發展。港股扭三連升,今早在友邦(01299.HK)安踏(02020.HK)、潤地(01109.HK)、九倉置業(01997.HK)、創科(00669.HK)、阿里健康(00241.HK)及藥明生物(02269.HK)跌逾1%-2%拖累,由逾兩個月高位曾吐逾200點,低見29,251,半日收29,320,反覆吐147點或0.5%。
滬指及深成輕微高開後,很快掉頭向下,最低見3,592及14,850,半日收3,601及14,873,吐近0.6%及1.1%。新加坡海峽時報指數回吐0.7%報3,164;紐西蘭50指數扭兩連漲,回吐0.4%報12,412;印度孟買繼昨天反覆回軟結束四連漲後,早段續吐0.4%報51,749。台灣加權指數承過去三連漲勢,今早進一步升至17,274無以為繼,掉頭倒跌0.3%報17,105;韓股升至3,241遇阻,掉頭低見3,216,現造3,221,微吐約1點。
相反,菲股扭連兩吐,回升2.6%報6,802;澳洲200扭兩連吐,回升0.9%報7,209;日經扭兩連吐,高低見29,003/28,565,現造28,952,回升0.5%。已連續三天破頂越南天續升0.5%報1,344,再度撲昨天盤中所創紀錄高位1,346。
印尼假後重開延續本周一高收續彈1.7%強勢,最高見6,029創逾一個月高,現造6,009,續升1%。吉隆坡綜合指數續升0.6%報1,595。泰股繼昨天續升1.5%,今早升至1,627遇壓,現造1,619,僅升1點。
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