《外圍股市》歐洲主要股市早段回吐0.1%-0.8% CAC沽壓較大
帶動內地經濟增長「三頭馬車」4月數據均遜於市場預期,尤其是4月零售總額及工業生產按年降幅擴至11.1%及轉降2.9%均爲逾兩年最差。亞太主要股市今天高位遇壓,港股、澳股、臺股及日經由曾續漲逾1%,收窄至僅升0.2%至不足0.5%,其中恆指在農夫山泉(09633.HK)、吉利(00175.HK)、長實(01113.HK)、金沙(01928.HK)、權重騰訊(00700.HK)及美團(03690.HK)倒跌逾1%-2%拖累,曾由續升274點,轉跌133點;但菲股扭五連跌反彈1.9%。滬深股市蒸發曾續揚0.6%-1.2%所有升幅,轉跌0.3%-0.6%;南韓及新西蘭股市也倒跌,後者屢創近兩年低。
美股期貨先升後跌,道指期貨現報31,984,跌136點或0.4%;標指五百及納指一百期貨現報3,994及12,274,回落0.6%及0.9%。
歐洲主要股市繼上週五反彈1.7%-2.6%後,早段全面回軟,德國DAX報13,945,回吐0.6%;法國CAC報6,312,回吐0.8%;意大利FTSE MIB報23,968,回吐0.3%;西班牙IBEX 35報8,327,回吐0.1%;泛歐600報431.28,回吐0.5%。英國富時100報7,388,回吐0.4%。
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