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《外圍股市》歐洲主要股市早段回吐0.3%-0.8% 惟CAC反覆逆穩
亞太區股市今天普遍受壓,尤其是菲股急吐3.5%;新西蘭、泰國、南韓及日經依次回吐近0.9%-1.8%;港股扭兩連彈,在重磅股騰訊(00700.HK)、阿里巴巴(09988.HK)、海底撈(06862.HK)、美團(03690.HK)、阿里健康(00241.HK)、受困於當局擬整治房地產市場秩序工作的潤地(01109.HK)及龍湖(00960.HK)捱沽主導,午後初段跌幅曾擴至678點或2.6%低見25,636獲承接,收市僅回吐354點或近1.4%;但越南連續第二天高收再漲1.3%。

美股期貨全面回落,尤其是納指期貨受累於績後fb股價急挫拖累,最低見14,811,現報14,860,回吐1.2%;但昨天破頂的標普及道指期貨低位見承接,現僅回吐0.7%及不足0.3%。

歐洲主要股市早段普遍回吐,德國次季經調整後GDP初值按季恢復增長1.5%遜預期,德國DAX回吐0.8%報15,510;意大利次季季調後GDP初值季增加快至2.7%勝預期,意大利FTSE MIB回吐0.3%報25,441;西班牙IBEX 35回吐0.6%,報8,731;昨天破頂的泛歐600回吐不足0.5%報461.75。英國富時100回吐0.6%報7,034。不過,法國次季季調後GDP初值按季轉增0.9%略勝預期,法國CAC低見6,596獲承接,現報6,635,逆升2點。

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