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恆指跌幅曾擴至逾500點再尋底 港交所、安踏、李寧及藥明生物挫5%至10%
美國多項經濟數據均遜預期,加上美國總統拜登宣布禁止俄羅斯油氣產品進口,刺激油價續漲至逾十三年半高,投資者繼續評估油價飆升帶來的影響,美股三大指數反覆四連跌,藍籌股指期貨回穩,其中道指期貨報32,655,回升53點;但納指一百期貨反覆續跌近0.2%,報13,245。內地及香港股市今早(9日)先升後續跌,滬指及深成現報3,258及12,026,倒跌1.1%及1.8%。 港股四連跌屢創逾五年半低,恆指早段曾反彈191點或0.9%,高見20,957無以為繼,今早十時過後市勢輾轉下滑,最多急挫510點,低見20,255,現報20,383,倒跌382點或1.8%,成交額762億元。 藍籌股普遍反覆受壓,港交所(00388.HK)扭轉上日回穩勢頭,今天反覆再創逾年半低,現報318.2元,挫5.4%;友邦(01299.HK)低見70.25元,創逾年半低,現報70.75元,跌3.1%;中銀香港(02388.HK)及建行(00939.HK)反覆跌1.9%及0.9%,報26.45元及5.55元;但匯控(00005.HK)由逾兩個月低位連彈第二天,最高見49.25元,現報48.4元,續升0.8%。 內需股以兩大體育股沽壓最大,李寧(02331.HK)低見60.1元創約十個月低,現報61.4元,續挫9.5%;安踏(02020.HK)低見95.2元創逾一年低,現報97.2元,續挫7.1%。蒙牛(02319.HK)續挫逾4%報43.35元,創約兩個月低;比亞迪(01211.HK)反覆續跌逾2.5%報179.1元,創約九個月低。百威亞太(01876.HK)續跌3.5%報22.25元。出口股創科(00669.HK)跌2.5%報124.7元。 藥明生物((02269.HK)續挫10%報50.3元創逾年半低;阿里健康(00241.HK)續挫5.1%報4.24元,創近四年低。 新經濟股以阿里巴巴(09988.HK)沽壓較大,股價跌4%報93元再創上市新低。美團(03690.HK)及騰訊(00700.HK)反覆續跌逾2%,分別報141.5元及373.6元屢創逾年半低。海底撈(06862.HK)續挫4.2%報14元,再創上市新低。然而,信義光能(00968.HK)三連升兼重越百天線(13.87元),報14.02元,續升5.7%。
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