《外圍股市》歐洲主要要股市早段普遍偏軟 富時回吐0.5%
世界銀行將全球今明兩年經濟增長預測由原先4.1%及3.8%,調高至增長5.6%及4.3%。此外,中國5月通脹年率續升溫至1.3%(前值升0.9%),為去年9月以來最高,但不及預期升1.6%,期內PPI年升續加快至9%(前值升6.8%)超預期,升幅為2008年9月以來最高。不過,市場觀望美國明天公布CPI數據,亞太區股市繼續個別發展,滬指反覆回升0.3%,新西蘭、泰國、印尼、越南及菲律賓股市依次升0.4%-1.4%;餘下均反覆受壓,台灣及南韓股市續跌0.6%及1%;港股六連跌,今天在新經濟股阿里(01810.HK)、美團(09988.HK)、小米(01810.HK)、安踏(02020.HK)及阿里健康(00241.HK)依次跌1%-2%拖累,收市反覆跌38點。
已連續兩天跑贏的納指一百期貨續升0.2%報13,835,道指及標普期貨反覆靠穩。
歐元區主要股市早段好淡爭持,法國CAC報6,551,無升跌;西班牙IBEX 35報9,151,續跌2點;德國DAX報15,627,續跌近0.1%;昨天探頂後倒跌的意大利FTSE MIB現造25,778,續吐0.1%;屢創紀錄高的泛歐600輕微回軟報453.78。此外,英國富時100回吐0.5%報7,056。
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