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《亞洲股市》日經回吐0.7% 滬深菲股續跌0.6%-0.9% 港股跌幅收窄至1.4%
美股三連跌,美國經濟數據表現參差,但7月職位空缺意外回升及諮商會消費信心由近年半低急彈幅度遠超預期,鞏固聯儲局主席上周五於Jackson Hole全球央行年會上就貨幣政策的鷹派演說,30隻藍籌僅2隻逆穩,一半跌幅逾1%-2%,工業及科技股跌幅居前,道指由早段曾彈106點,掉頭曾挫451點,收31,790,續跌308點或近1%;油價急吐5.5%,標普能源指數挫3.4%,貼價走低的美鋁(AA.US)更急挫8.5%,費城半導體指數續跌1.3%,標指及納指由曾彈0.3%及0.7%,最多轉挫1.6%及1.9%,收3,986及11,883,續跌1.1%。此外,歐洲主股市除DAX逆彈0.5%外,全面反覆續跌0.1%-0.9%,富時假後復市追跌;泛歐600也反覆續跌近0.7%。 美股期貨全面反彈0.3%-0.5%,其中道指期貨報31,884,回升109點或0.3%。亞太股市早段全面受壓。日本7月季調後零售銷售額按月轉升0.8%勝預期,美元兌日圓於亞洲微吐0.1%報138.63後,日經繼昨天回升1.1%,今早回吐低見27,906,現報27,989,回吐206點或0.7%。 韓股繼昨天回升1%後,今早低見2,426,現報2,440,回吐0.4%。澳洲200繼昨天回升0.6%後,今早低見6,937,現報6,976,回吐0.3%。新西蘭50指數繼昨天回升1.2%結束三連跌,現報11,627,回吐0.2%。新加坡海峽時報回吐近0.7%報3,217。菲股繼昨天復市回吐0.9%結束三連升後,現報6,638,續跌0.8%。台灣加權指數繼昨天僅彈0.2%後,今早反覆微吐,高低14,976/14,874,現報14,947,僅跌6點。 內地8月官方製造業PMI回升至49.4略勝預期;非製造業PMI僅降至52.6也勝預期。然而,滬指及深成繼昨天反覆跌0.4%後,今早低開0.3%及0.5%報3,216及11,909,最高見3,225及11,968無以為繼,最低見3,205及11,855,現報3,207及11,867,續跌0.6%及0.9%。 港股三連跌,今天於期結完畢,在國指、工商分類指數及科指低開2%-2.5%領跌,恆指低開359點或1.8%報19,589,在遭股神巴菲特減持比亞迪(01211.HK)跌幅擴至11%曾低見229元拖累,最多跌384點或1.9%低見19,564獲承接,現報19,671,僅跌277點或1.4%。
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