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《亞洲股市》印度及日股及港股反彈1.6%-2.1% 惟滬深及菲股反覆逆軟
初步顯示新冠變種病毒Omicron危險性或不及Delta,紓緩投資者對新變種病毒阻礙經濟復甦憂慮。此外,中國11月出口額及進口額按年升幅分別放緩至22%及升幅加快至31.7%均勝預期,加上人行下周三(15日)起正式下調金融機構存款準備金率0.5個百分點,市場預計可釋放1.2萬億人民幣長期資金。道指繼昨晚反彈646點或近1.9%後,期貨曾反覆高見35,422,現報35,392,續升180點或0.5%。 亞太區股市幾乎全面向好,尤其是日經升幅曾擴至691點,收28,455,回升528點或1.9%;印度孟買回升1.6%報57,637。央行如期維持利率不變的澳洲200升近1%報7,314;泰股回升0.9%報1,602;印尼續升0.7%報6,592;韓股反覆續升0.5%報2,988;台股回升0.6%收17,796 恆指扭兩連跌,在阿里巴巴(09988.HK)等新經濟股、內房、保險股及港交所(00388.HK)等帶動,午後升幅持續擴至496點或2.1%,報23,845。 然而,近期跑贏港股的滬深股市先升後軟,上證及深成高見3,614及14,861,現報3,583及14,640,續跌近0.2%及0.8%。菲股扭三連漲,回吐0.2%報7,115。
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