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《亞洲股市》港韓日台澳股跌1.1%-2% 滬深及菲股逆升0.2%-0.6%
美股昨晚全面低收兼四連跌,美股8月俗稱「小非農」ADP私企就業職位僅增13.2萬個遠少預期,但市場仍繼續憂慮聯儲局進取加息,加上油價續挫逾2%,30隻藍籌有24隻反覆向下,拖累道指由早段曾彈175點,轉跌280點或近0.9%低收31,510;標指由曾彈0.7%,轉降0.8%低收3,955;Meta(META.US)升3.7%,支持納指僅由曾彈1.2%,轉降不足0.6%。此外,歐元區8月通脹年率初值升溫至9.1%連續四個月創紀錄高,市場料歐洲央行9月加息75點子抗通脹預期升溫,歐洲主要股市全面跌1%-1.4%。 美股期貨全面續跌0.4%-0.9%,納指一百期貨沽壓最大,報12,171,續跌0.9%;道指期貨報31,400,僅續跌132點或0.4%。亞太股市今早普遍受壓。美元兌日圓於亞洲升0.4%曾高見139.69再創24年高,日經繼昨天再度回軟後,今早急吐463點或近1.7%報27,628。 澳洲200兩連跌,最低6,836,現報6,846,急挫2%。台灣加權指數扭兩連升,報14,822,急吐1.8%。南韓次季季調後實際GDP終值確認季增略加快至0.7%。韓股扭兩連升,今早低見2,423,現報2,432,回吐1.6%。吉隆坡綜合指數假後復市結束四連升,報1,492,回吐1.3%。新加坡海峽時報連跌第二天,最低見3,207,現報3,219,續跌2點。新西蘭50指數連續第二天受壓,現報11,563,續跌0.3%。 港股繼昨天反覆回穩結束兩連跌後,今早在友邦(01299.HK)、新奧(02688.HK)、傳年內將遭股東騰訊(00700.HK)減持的美團(03690.HK),以及藥明生物(02269.HK)依次低開1.7%-2.9%等主導,恆指低開192點或近1%,報19,761欠承接,最多跌284點低見19,669獲承接,現報19,736,跌218點或1.1%。 然而,國務院總理李克強主持常務會議要求,穩經濟接續政策細則9月初應出盡出,著力促投資帶消費增就業。滬指及深成繼昨天反覆續跌0.8%-1.3%後,今早均低開約0.2%報3,196及11,789,最低見3,192及11,758獲承接,掉頭倒升0.2%及0.6%,報3,209及11,883。菲股扭兩連挫,報6,596,回升0.2%。
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