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《高盛認股證牛熊證》港交所、匯控跟隨大市下跌 趁低吸納留意貼價選擇 留意港交所中期購15456、貼價購12501,匯控貼價購21414
正股表現:港交所(0388)昨日重上340元水平收市,今早跟隨大市回落,現報329.4元,跌約3.6%。有券商指在收益率上升的情況下,料資產負債表強勁將跑贏大市,當中包括港交所。 匯控(0005)昨日跌約0.6%,今早跌穿50元水平。現報49.1元,跌約2.7%。匯控公布,昨日在倫敦市場回購160萬股,涉資820.73萬英鎊。 資金流向:觀察個股輪證資金流向,本週三錄得約180萬元資金流入港交所好倉後,昨日獲資金轉向沽出。本週二至本週四共錄得約630萬元資金流入淡倉。 匯控方面,好倉於昨日獲資金轉向沽出。本週二至本週四共錄得約470萬元資金流入淡倉。 產品選擇:投資者如看好港交所,認購證方面的中期選擇可留意低街貨港交購15456。貼價選擇可留意年期約5個月的港交購12501。牛證方面可留意屬遠牛的港交牛57796,與現價有約20元收回距離。 港交購15456,行使價370元,2022年10月26日到期,實際槓桿7.1倍,中期、低街貨 港交購12501,行使價350元,2022年09月22日到期,實際槓桿7.5倍,貼價 港交牛57796,收回價310元,行使價308元,換股比率500,實際槓桿13.4倍,相近收回價遠牛中街貨較低 投資者如看淡,認沽證方面可留意年期約4個月,屬貼價的港交沽11188。熊證方面可留意屬近熊的港交熊53670,與現價有約30元收回距離。 港交沽11188,行使價300元,2022年09月13日到期,實際槓桿6.2倍,貼價 港交熊53670,收回價360元,行使價362元,換股比率500,實際槓桿9.8倍,相近收回價近熊中槓桿最高 投資者如看好匯控,認購證方面的貼價選擇可留意年期約4個月的匯豐購21414。中期選擇可留意匯豐購29035。牛證方面可留意屬近牛的匯豐牛51121,與現價有約3元收回距離。 匯豐購21414,行使價55.93元,2022年08月26日到期,實際槓桿11.2倍,貼價 匯豐購29035,行使價60元,2022年10月25日到期,實際槓桿9.8倍,中期 匯豐牛51121,收回價46元,行使價45元,換股比率100,實際槓桿12.0倍,相近收回價近牛中街貨較低 投資者如看淡匯豐,可留意年期約2個月,屬高槓桿的匯豐沽22456。 匯豐沽22456,行使價46.45元,2022年07月11日到期,實際槓桿10.0倍,高槓桿 註: 以上數據資料來自高盛認股證牛熊證網站https://www.gswarrants.com.hk/~ 重要聲明: 以上資訊由第三方提供,AASTOCKS.com Limited對於任何包含於、經由、連結、下載或從任何與本網站有關服務所獲得之資訊、內容或廣告,不聲明或保證其內容之正確性或可靠性。對於您透過本網站上之廣告、資訊或要約而展示、購買或取得之任何產品、資訊資料,本公司亦不負品質保證之責任。
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