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《外圍股市》歐洲主要股市早段全面反彈0.6%-1% 俄股反彈1.5%
烏克蘭緊張局勢加劇,加上市場關注聯儲局本周三貨幣政策會議結果取態會否更趨強硬。亞太區股市除越南及菲股逆升2.8%及0.5%外,全部下跌,尤其是澳股、韓股及滬深股市急挫2.6%-2.8%;港股在阿里巴巴(09988.HK)、美團(03690.HK)、比亞迪(01211.HK)、匯控(00005.HK)、友邦(01299.HK)、京東(09618.HK)、吉利(00175.HK)及瑞聲(02018.HK)跌約2%-6%主導,尾市跌幅曾擴至654點低見24,001,收24,243,續跌412點或1.7%。 美股三大指數繼昨晚倒升0.3%-0.6%後,期貨重現沽壓,納指一百期貨低見14,151,現報14,268,下挫1.6%;標普五百期貨低見4,328,現報4,354,跌1.1%;道指期貨低見33,855,現報33,991,跌262點或0.8%。 歐元區主要股市繼昨天續挫3.2%-4%後,早段全面反彈,泛歐600報459.87,回升0.8%;德國DAX報15,102,回升0.6%;法國CAC報6,854,回升1%;意大利FTSE MIB報26,160,回升0.7%;西班牙IBEX 35報8,478,回升0.7%。英國富時100繼昨天挫2.6%後,早段回升0.8%報7,355,中止三連跌。俄羅斯指數繼昨天急瀉逾8%後,早段回升1.5%報1,307。
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