《亞洲股市》恆指跌幅擴至550點 失守二萬關 滬深股市跌逾1%
美股連跌兩天,俄羅斯表示與烏克蘭談判取得一些進展,支持三大指數上週五早段反彈0.8%-1%,但美國加大對俄羅斯多項新制裁,以及美國3月密歇根消費信心創十年半低遠遜預期及市場關注聯儲局本週議息結果,大型科網及費城半導體指數及中概股繼續捱沽,拖累三大指數低收倒跌0.7%-2.2%。然而,美股期貨全面回升約0.7%,其中道指期貨報33,033,回升220點或近0.7%。
亞太區股市今早個別發展,澳洲200指數及受惠圓匯屢創逾五年低的日經指數回升1.1%及1%,分別報7,140及25,419。吉隆坡綜合指數靠穩報1,568。
然而,新加坡海峽指數三連升後,早段微吐0.1%報3,245。南韓(KOSPI)及新西蘭50指數現報2,648及11,745,續跌0.5%及0.6%。
內地疫情惡化。上證及深成今早扭轉過去兩連彈勢,低開近1.2%及1.5%,報3,271及12,315,現報3,260及12,274,各跌1.5%及1.4%。臺灣加權指數高見17,363遇壓,現報17,300,僅回升0.2%。
港股繼上週累瀉1,351點或6.2%連跌四周兼創逾五年半低後,恆指今早在藥明生物(02269.HK)、比亞迪(01211.HK)、權重新經濟股騰訊(00700.HK)、屢尋底的阿裏巴巴(09988.HK)、美團(03690.HK)及京東(09618.HK)低開3.5%-9.6%拖累,低開349點或1.7%報20,203,跌幅擴大,最低見19,984,現報19,995,跌558點或2.7%。
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