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《亞洲股市》港滬、印尼及越南股市跌0.6%-1.2%跑輸 澳臺及菲股逆穩
美國6月CPI月升意外加快至0.9%創13年高,10年期美債息率續升至1.415%,市場重憂聯儲局提早「收水」,美股繼昨晚全面反覆回吐不足0.4%後,道指期貨續跌35點或0.1%報34,741。亞太區股市普遍受壓,尤其是越南跌1.2%報1,281;印尼承昨天吐逾1%勢,今天再跌0.9%報5,958。滬指及深成低見3,525及15,021,半日收3,537及15,131,回吐0.8%及0.4%。

港股三連升累漲逾800點未能企穩二萬八關後,今早在騰訊(00700.HK)及藥明生物(02269.HK)高開近1%及4%支撐,高開1點報27,965欠承接,在匯控(00005.HK)與友邦(01299.HK)等銀行保險股、美團(03690.HK)、信義光能(00968.HK)、吉利(00175.HK)、申洲(02313.HK)和比亞迪(01211.HK)普遍跌逾1%-4.5%拖累,掉頭曾倒跌254點或0.9%,低見27,708獲承接,半日收27,801,倒跌161點或近0.6%。

餘下跌幅均少於0.4%,其中日經扭兩連升,最低見28,482,現造28,641,回吐0.3%。不過,澳洲200、臺股及菲股逆市反覆微升,分別報7,338、17,859及6,796。

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