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《亞洲股市》日經隨外圍急彈3.4% 韓臺及深成回升2%-2.4%
市場逐步消化美國禁止俄羅斯油氣產品進口,與烏克蘭危機的相關大宗商品價格全面大幅回落,其中油價急吐逾一成,投資者對通脹加劇憂慮降溫。歐美股市昨晚大幅反彈,道指成份股幾乎全面造好,升幅普遍逾1%-5%,運通及Salesforce升幅居前,但連日屢創紀錄高雪佛龍(CVX.US)曾貼價吐逾半成,收吐2.5%,道指由曾飆升824點,收窄至僅彈653點或2%收33,286;重磅金融及大型科技股重現買盤,費城半導體指數急彈4%,標普科技及金融指數升近4%及3.6%,但標普能源指數逆吐逾3%,標指及納指分別回升2.6%及3.6%,收4,277及13,255。此外,歐元區主要股市全面高收急漲4.7%-7.9%,DAX及CAC彈力最強;富時續彈3.3%。 美股期貨好淡爭持,其中道指期貨逆吐46點,報33,219,納指一百期貨報13,738,逆升3點。亞太區股市早段全面造好。 美元兌日圓於亞洲續升0.2%報116.06,日經扭四連跌,今早由約16個月低位急彈832點或3.4%報25,550。臺灣加權指數繼昨天回升1%結束三連挫後,今早續升2.4%報17,428。 南韓在野國民力量黨尹錫悅勝出總統選舉。南韓(KOSPI)繼昨天總統選舉日休市後,今早假後重開扭三連跌,最高見2,682,現報2,674,反彈2%。 澳洲200繼昨天回升1%結束三連跌,今早高見7,137,現報7,117,續升0.9%。新西蘭50指數連彈兩天,報11,953,續升1.4%。新加坡海峽指數繼昨天回升1.5%結束三連跌後,現報3,242,續升近1.5%。吉隆坡綜合指數續彈0.4%報1,568。 滬深股市反覆扭六連跌,滬指及深成今早高開1.7%及2.6%報3,312及12,421,現報3,301及12,385,回升1.4%及2.3%。 港股四連跌昨天曾考驗20,100創逾五年半低獲承接明顯收窄跌幅後,今早在騰訊(00700.HK)、阿裏巴巴(09988.HK)、港交所(00388.HK)、友邦(01299.HK)、匯控(00005.HK)、安踏(02020.HK)、藥明生物(02269.HK)、美團(03690.HK)及比亞迪(01211.HK)高開逾2%-6.5%,恆指高開478點或2.3%報21,106,最高見21,114遇壓,曾回順至20,884,現報20,905,反彈277點或1.3%。
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