《外圍股市》富時及西班牙升0.3%及0.5% DAX及CAC逆軟
環球央行大舉加息遏高通脹,連帶持續長達八年負利率的歐洲央行也宣布11年來首次大幅加息50點子超預期。然而,美國指標十年期債息回落至2.9厘邊,亞太股市今天個別發展,但升跌均少於1%,印度孟買及受惠於央行持續寬鬆政策日經分別升0.6%及0.4%六連漲及七連漲,星股回升0.9%,港股受惠於科指及金融分類指數主導反覆微彈0.1%報20,602。然而,澳紐、滬深及韓股反覆偏軟。
社交媒體公司Snap(SNAP.US)次季虧損超預期,股價盤後急吐26.8%報11.97美元,殃及同業,Twitter(TWTR.US)及Meta(META.US)盤後股價跌2%及4.7%,報38.71美元及174.59美元,拖累標普五百期貨及納指一百期貨回吐0.2%及0.6%,現報3,991及12,562;但道指期貨現報32,013,反覆續升6點。
歐洲主要股市早段個別發展。英國6月零售及核心零售銷量按月僅續降0.1%及轉升0.4%勝預期,英國富時100續升0.3%報7,290。西班牙IBEX 35回升0.5%報8,054。總理拉加德請辭的意大利FTSE MIB兩連跌後,現報21,216,微彈0.1%點。泛歐600靠穩報424.51。然而,德國DAX續跌0.1%報13,229;法國CAC回吐0.1%報6,192。
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