《亞洲股市》港股升幅擴至660點 新加坡及滬深股市升1.3%-2%
美國2月PPI及核心PPI月升顯着放緩至0.8%及0.2%低預期,加上油價連續兩天急跌,3月紐約製造業指數更意外急降至收縮兼創近兩年低,市場對聯儲局將會激進大幅加息遏通脹憂慮紓緩,美股昨晚在大型科網與費城半導體指數急彈,以及11個主要板塊(能源逆跌除外)受捧下全面急升1.8%-2.9%,納指彈力最強,道指受貼價走弱雪佛龍(CVX.US)逆挫半成拖累升幅最小,收33,544,漲599點。然而,美股期貨全回吐不足0.3%。
亞太區股市早段除大馬逆軟外,全面造好,其中日經、澳洲200及新加坡海峽指數均升逾1%,後者報3,277,續升1.3%。
帶動中國經濟增長「三頭馬車」今年首兩個月增速遠勝預期,惟憂慮內地疫情,深成及上證昨天低收續挫4.4%-5%後,今早高開2%及1.4%,報11,765及3,107。
港股連續兩天暴瀉逾千點至昨天曾低見18,235創近十年低喘定後,今早友邦(01299.HK)和港交所(00388.HK)高開逾2%、阿裏巴巴(09988.HK)、騰訊(00700.HK)、比亞迪(01211.HK)、網易(09999.HK)、美團(03690.HK)、碧桂園服務(06098.HK)及京東(09618.HK)高開4.5%-12%帶動,恆指高開540點或2.9%,報18,956,升幅擴至660點或3.6%報19,075。
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