《外圍股市》歐洲主要股市早段隨美期續彈0.5%-1.2% 西班牙跑贏
市場憂慮美國連日相關數據顯示聯儲局將繼續進取加息抗通脹,9月PPI及CPI升幅超預期外,美國上周五公布10月密歇根消費者一年通脹預期初值意外七個月來首次急劇惡化。然而,美股期貨反覆回升。
國家主席習近平於昨天開幕中共二十大會議重申疫情防控堅持「動態清零」。亞太股市今天先跌後個別發展,越南、日經、台股及澳股回吐1%-1.4%;但菲股升1.1%五連升;大馬、止跌回升印尼/泰國、滬深及印度股市反覆升0.2%-0.8%;港股繼今早曾反覆跌278點低見16,308再創11年低喘定,在權重藍籌銀行全面造好,以及翰森(03692.HK)續升13%、蒙牛(02319.HK)、碧服(06098.HK)和舜宇(02382.HK)反覆升3%-4%支撐,尾市高見16,754,收16,612,反覆續彈25點。
美股期貨全面反覆回升0.8%-1.2%,道指期貨現報29,953,回升245點或0.8%;標普五百期貨及納指一百期貨現報3,632及10,872,回升近1%及1.2%。
歐洲主要股市早段連彈第三天,泛歐600報393.26,升0.5%;法國CAC報5,957,續升0.4%;德國DAX報12,500,續升0.5%;意大利FTSE MIB報21,041,續升0.5%;西班牙IBEX 35報7,473,續升1.2%。英國新財相提早在今日宣布中期財政計劃,上周五僅升0.1%英國富時100報6,898,續升0.5%。
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