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《高盛認股證牛熊證》京東業績後受壓 騰訊創一週高後回吐 留意京東高槓桿購15024、高槓桿沽12971,騰訊高槓桿購29019、貼價沽13619
阿思達克 05-18 10:52
正股表現:京東(9618)昨日升約7.4%並在收市後公布今年首季業績,期內收入達2,397億元人民幣,按年升18%。期內盈轉虧近30億元人民幣。及後有券商指業績大致符合預期,並指京東毛利率表現估計會更有韌性,及「618」推廣亦料可推動增長復甦。該行維持京東「買入」評級,目標價324元。京東今早受壓,現報206.8元,跌約3.7%。 將於今日收市後公布今年首季業績的騰訊(0700),昨日升約5.3%,今早則高開見375.2元後隨即倒跌,現報358.6元,跌約2.7%。市場料騰訊今年首季,非國際財務報告準則公司權益持有人應佔盈利,介乎223.79億至282億元人民幣,按年跌14.8%至32.4%。 資金流向:觀察個股輪證資金流向,本週一及本週二共錄得約100萬元資金流入京東淡倉。 騰訊方面,昨日見淡倉獲資金趁高轉向流入,有約1,200萬元。昨日流入牛證的資金較集中在345元收回區域的產品。 觀察港股通資金流向,昨日北水轉向買入騰訊,錄得約7.3億元資金淨買入。 產品選擇:投資者如看好京東,認購證方面的高槓桿選擇可留意年期約4個月的低街貨京東購15024。貼價選擇可留意年期約4個月的低街貨京東購15583。牛證方面可留意屬遠牛的京東牛67039,與現價有約25元收回距離。 京東購15024,行使價289.08元,2022年09月27日到期,實際槓桿4.8倍,高槓桿、低街貨 京東購15583,行使價249.08元,2022年09月07日到期,實際槓桿4.7倍,貼價、低街貨 京東牛67039,收回價180元,行使價177元,換股比率500,槓桿比率6.7倍,相近收回價遠牛中街貨較低 投資者如看淡京東,認沽證方面可留意屬行使價160至200元間產品中,槓桿最高的京東沽12971。熊證方面可留意屬遠熊的京東熊51282,與現價有約45元收回距離。 京東沽12971,行使價168.78元,2022年09月07日到期,實際槓桿3.4倍,行使價160至200元間產品中,槓桿最高 京東熊51282,收回價260元,行使價263元,換股比率500,槓桿比率3.6倍,近45元收回距離遠熊 投資者如看好騰訊,認購證方面的高槓桿、進取選擇可留意屬輕微價外的騰訊購29019。貼價選擇可留意年期約4個月的騰訊購12127。牛證方面可留意屬近牛的騰訊牛51281,與現價有約20元收回距離。 騰訊購29019,行使價460元,2022年08月22日到期,實際槓桿9.1倍,高槓桿、進取、輕微價外 騰訊購12127,行使價430元,2022年09月16日到期,實際槓桿7.2倍,貼價 騰訊牛51281,收回價340元,行使價337.2元,換股比率500,槓桿比率15.3倍,高槓桿近牛 投資者如看淡騰訊,認沽證方面的貼價選擇可留意年期約4個月的騰訊沽13619。高槓桿選擇可留意年期約4個月的騰訊沽12853。熊證方面可留意屬近熊的騰訊熊50943,與現價有約20元收回距離。 騰訊沽13619,行使價298.8元,2022年9月22日到期,實際槓桿5.0倍,貼價 騰訊沽12853,行使價260元,2022年9月19日到期,實際槓桿5.5倍,高槓桿 騰訊熊50943,收回價380元,行使價383元,換股比率500,槓桿比率13.8倍,高槓桿近熊 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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