《亞洲股市》日經及港股續跌0.9%及1.3% 印度及臺澳股升0.2%-0.3%
美國10月新屋動工意外創半年低,加上市場繼續關注高通脹風險,美股昨晚在金融板塊主導全面回吐0.3%-0.6%後,道指期貨續跑輸,報35,849,逆跌18點;但季績及展望均勝預期英偉達(NVDA.US)股價盤後反彈5.2%報307.71美元,帶動納指一百期貨及標普五百期貨分別回升0.2%及0.1%,報16,342及4,689。
亞太區股市今天普遍受壓,但跌幅(港股除外)均少於1%,其中日經低見29,402,現報29,432,續吐256點或近0.9%;印尼及菲股均跌0.6%,分別報6,633及7,307,前者結束兩連升。滬指及深成分別低見3,513及14,555,半日收3,532及14,652,僅回吐0.1%及0.4%。韓股續跌至2,937獲承接,曾倒升高見2,964,現報2,960,僅跌2點。
港股承昨天回軟結束六連漲勢,今天在三大新經濟股重磅股騰訊(00700.HK)/美團(03690.HK)/阿裏巴巴(09988.HK)跌2.5%-4.9%、李寧(02331.HK)/舜宇(02382.HK)/吉利(00175.HK)/小米(01810.HK)/潤地(01109.HK)/碧桂園(02007.HK)/阿裏健康(00241.HK)跌2%-4.8%拖累,曾挫427點或近1.7%至25,222(守穩10天線25,207),半收25,305,跌345點或1.3%。
然而、印度孟買指數扭兩連跌,報60,120,回升0.2%。澳洲200反彈0.2%報7,384。臺股續升0.3%報17,809創四個月高。越南及泰股也反覆續微升。
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