《外圍股市》歐洲主要股市早段回升0.2%-1% 西班牙追落後
市場憂慮歐洲新一輪「封城」將會拖低環球經濟復甦,油價上週五續挫至七週低位。亞太區股市今天個別發展,本月首20天線出口增速續擴大的南韓股市續升1.4%,深滬股市續升1.4%及0.6%,受惠政府推歷來最高財政刺激計劃的日經反覆兩連升;但已三連跌的印度孟買長週末假後重開急挫2.1%,新西蘭挫跌1%,港股四連跌,今天在匯控(00005.HK)、阿裏巴巴(09988.HK)、貼價走弱「三桶油」、美團(03690.HK)、倒跌藥明生物(02269.HK)及海底撈(06862.HK)依次跌1.1%-7%1拖累,午後初段跌幅曾擴至180點低見24,869,收市僅跌98點或0.4%。
美股期貨全面升0.3%-0.4%,道指期貨扭三連跌,回升139點或近0.4%報35,688;納指一百期貨續升0.3%報16,627屢創紀錄高。
歐洲主要股市繼上週五全面低收倒跌後,早段普遍有小量反彈,德國DAX報16,197,回升0.2%;法國CAC回升0.3%報7,135;上週五跌逾1%跑輸的意大利FTSE MIB及西班牙IBEX 35報27,386及8,836,回升0.2%及近1%,後者結束四連跌;泛歐600回升0.3%報487.74。英國富時100扭四連跌,報7,254,回升0.4%。
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