《亞洲股市》滬深及大馬股市跌0.4%-1% 港日澳股升0.4%-0.8%
美國最新經濟數據表現參差,加上美國5年及30年期債息曾16年來首次出現倒掛,市場重憂美國經濟陷入衰退,中國疫情擴散憂原油需求降,油價急跌近7%,能源及遭大摩唱淡銀行股受壓,但過半藍籌及標普其餘主要板塊反覆造好,帶動美股昨晚高收升0.3%-1.3%,納指追彈跑贏。美股期貨窄幅個別發展,納指一百期貨反覆微吐0.1%。
亞太區股市個別發展,但升跌均少於1%,澳洲零售銷售數據強勁,澳洲200六連升,最高見7,480,現報7,469,續升0.8%。韓股、泰股、印度孟買、日股及越南股市升0.1%-0.6%,其中日經高見28,227,現報28,079,回升0.5%。
港股兩連升,但向上受制二萬二關,恆指今早在科指及工商分類指數曾急漲逾2%帶動高見21,937遇阻,在匯控(00005.HK)、平保(02318.HK)、舜宇(02382.HK)、網易(09999.HK)及小米(01810.HK)反覆跌逾1%-7%拖累,曾回順至21,722,半日收21,783,續升98點或近0.5%。
然而,吉隆坡綜合指數續吐1%報1,582;菲股回吐0.5%報7,097。滬指及深成半日收3,200及11,881,反覆回吐0.4%及續吐0.6%。臺股、印尼及新加坡股市也反覆偏軟。
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