《外圍股市》美股期貨全面反覆續軟 納指期貨跌近0.2%
亞太區股市今天普遍向好,滬指及及深成收市分別續升0.5%及升1.2%,台股收市回升1.1%結束四連跌,印尼續升1%;星馬泰、南韓,日經、澳洲及印度股市升0.1%-0.6%。相反,港股、新西蘭、越南及菲股反覆逆軟,其中恆指今早在信義光能(00968.HK)和今天除淨的比亞迪(01211.HK)曾急漲近7.5%和9%,以及美團(03690.HK)和吉利(0175.HK)曾分別回升4.1%及續升3.6%推動,扭六連跌曾回升211點至28,954受制百天線,在匯控(00005.HK)跌幅擴至近2%、金融股、騰訊(00700.HK)和阿里(09988.HK)受壓,以及阿里健康(00241.HK)、手機股瑞聲(02018.HK)/舜宇(02382.HK)和海底撈(06862.HK)跌逾1%-3%拖累,接近3時掉頭倒跌,低見28,664,現造28,675,倒跌66點或0.2%。
市場觀望美國稍後公布通脹數據,美股繼昨天全面低收倒跌不足0.5%外,期貨仍反覆受壓,道指期貨最高見34,494無以為繼,掉頭低見34,389,現造34,423,續跌14點;標普五百期貨高低見4,225/4,211,現造4,215,反覆續跌3點;納指一百期貨高低見13,829/13,764,現造13,780,續跌23點或近0.2%。
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