《亞洲股市》港股跌幅擴至近300點 滬深反覆續跌0.3%-0.6% 越南升幅擴至1.9%紀錄高
美股期貨好淡爭持。亞太區股市午後個別發展。港股未能受惠財新香港5月PMI升至52.5逾七年高,恆指繼半日反覆續吐0.4%後,下午在重磅股騰訊(00700.HK)、阿里(09988.HK)、友邦(01299.HK)、建行(00939.HK)、恆生(00011.HK)、中國平安(02318.HK)、創科(00669.HK)、蒙牛(02319.HK)、新地(00016.HK)、新世界(00017.HK)、潤地(01109.HK)、恆隆地產(00101.HK)及長建(01038.HK)跌幅擴至逾1%-2.5%拖累,跌幅擴大,最低見29,004,現造29,011,至286點或1%,正考驗10天線(29,011)支持力。
財新中國5月服務業PMI由前值56.3,降至55.1,遠低於市場預期56.2。滬指及深成繼半日市反覆回升0.4%後,下午後再度回落,現造3,587及14,774,反覆續吐近0.3%及0.6%。此外,菲股回吐0.7%報6,791;紐西蘭、泰國及大馬股市也反覆偏軟。
相反,越南升幅擴至1.9%報1,366,創紀錄高。新加坡、印尼、日經、台灣、南韓及澳洲股市升0.1%-0.7%,其中澳洲200創逾15個月高。
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