《亞洲股市》港股及日經反覆續跌0.7%及0.4% 印度及滬深股市反彈0.4%-1.4%
俄烏局勢持續緊張,加上聯儲局官員布拉德再次呼籲局方加快加息步伐,美股三連跌後,期貨反覆微彈,納指一百期貨高見14,333,現報14,293,回升0.3%;道指期貨現報34,486,反覆回升15點。
亞太區股市今天個別發展。美元兌日圓於亞洲跌0.1%報115.4,日經繼昨天假後重開追吐2.2%後,今早仍反覆受壓,高低見27,205/26,911,現報26,961,反覆續跌117點或0.4%。南韓(KOSPI)三連跌,現報2,695,反覆續跌0.3%。澳洲200及菲律賓(PSEI)股回吐0.3%及0.6%,報7,223及7,317。新加坡及新西蘭也反覆續軟。
港股三連跌,恆指今早在美團(03690.HK)續跌1.5%,以及三大保險和所有藍籌銀行股全面跌近1%-4%拖累金融分類指數急挫1.9%主導,恆指半日低收24,383,反覆續跌172點或0.7%。
然而,深成及滬指半日收13,307及3,442,回升1.4%及0.4%。印度孟買指數繼昨天急挫3%後,今天扭兩連跌,最高見56,955,現報56,728,回升0.6%;印尼雅加達綜指終止三連跌,現報6,780,回升0.7%;泰國(SET)由逾兩年半高三連吐後,現報1,689,回升0.3%;吉隆坡綜合指數五連升,報1,589,升0.3%。台灣加權指數扭兩連跌,報18,070,回升0.4%;越南胡志明指數繼昨天挫2%後,今天扭兩連跌,報1,479,回升0.5%。
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