《亞洲股市》日經及越南挫1.9%及1.5% 惟印度及星菲股逆彈0.4%
市場憂慮一連兩天議息聯儲局或收緊貨幣政策及國際投資者對中國恆大(03333.HK)債務危機風暴擔憂,美股繼昨晚全面急挫1.7%-2.2%後,期貨全面反彈0.5%-0.7%,道指期貨彈力最強,報34,073,升幅擴至234點或0.7%。
亞太區股市繼昨天全面向下後,今天個別發展。美元兌日圓於亞洲彈近0.2%至109.566,但日經長周末假後復市追跌,最低見29,832,現報29,925,急挫574點或近1.9%。
印尼及越南續吐0.9%及1.5%,分別報6,024及1,330;馬來西亞及新西蘭續軟。
港股兩連跌,今早在新經濟股騰訊(00700.HK)、比亞迪(01211.HK)、再破底阿里巴巴(09988.HK)、美團(03690.HK)及中國平安(02318.HK)跌1.8%-3.3%,抵銷友邦(01299.HK)急彈4.4%,以及地產股反彈尤其是碧桂園(02007.HK)彈近7%,反覆受壓,高低見24,188/23,771(逾11個月低),半日收24,022,續跌77點或0.3%。
相反,新加坡海峽時報指數回升0.4%報3,053;印度孟買扭轉由紀錄高位兩連吐,報58,720,回升0.4%。澳洲200、泰股及菲股反覆微彈0.1%-0.4%,後者最強報6,885。
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