《亞洲股市》中港股市回吐1.2%跑輸 印度及日韓股跌0.6%-1%
美國10月PPI年升高企於8.6%(紀錄高位),加上中國10月PPI年升進一步加快至13.5%(前值升10.7%),創26年高兼超預期,期內CPI通脹年率由半年低位0.7%,急速加快至1.5%逾一年高略超預期。市場對全球通脹加劇憂慮升溫,美股期貨全面續吐約0.4%。亞太區股市除越南逆升近0.2%外,今早全面向下。尤其是滬深股市今早顯着回吐,上證及深成扭兩連升曾跌逾1.5%分別低見3,448及14,302,半日收3,464及14,393,回吐1.2%。
港股扭轉昨天反覆回升0.2%勢,今早在友邦(01299.HK)及匯控(00005.HK)主導金融板塊急挫1.9%、吉利(00175.HK)/比亞迪(01211.HK)/蒙牛(02319.HK)跌4%至7%及餘下藍籌幾乎全面向下拖累,曾跌331點低見24,481,創逾一個月低喘定,半日收24,520,跌292點或近1.2%。然而,重磅藍籌騰訊(00700.HK)於季績前股價逆升逾2%重越10天線高見477.6元。
韓股扭轉昨天回穩勢,報2,932,跌1%。餘下股市跌幅均不足0.7%,其中日經四連跌,最低見29,080,現報29,111,續跌173點或0.6%。菲股扭四連漲,報7,399,回吐0.6%。印度孟買指數續跌0.6%報60,045。新西蘭50指數回吐0.6%報13,013。
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