《外圍股市》歐洲主要股市早段跌0.5%-1.1% 意股沽壓最大
美國經濟數據表現參差。亞太區主要股市普遍受壓,尤其是港股於期結日急挫,恆指在科指及國指曾分別急挫6.4%及4.7%等拖累,曾低見14,770再創13年半低,收14,863,急吐564點或近3.7%,結束連續兩天略彈。滬指及深成續挫2.2%及3.2%;台菲股回吐1.1%-1.2%;但新加坡第三季失業率意外續降至六年低,星股逆升1.5%四連漲。
美股期貨全面受壓,尤其是已兩連跌的納指一百期貨及標普五百期貨受累於季績及展望均差預期的亞馬遜(AMZN.US)盤後股價遭拋售拖累,最低見11,062及3,781,現報11,100及3,789,續跌1.2%及0.8%,已五連升的道指期貨僅反覆吐近0.3%現報31,983。
歐元區主要股市早段全面受壓,德國第三季GDP按季意外續增0.3%,但德國DAX四連升後,早段曾回吐至13,051,現報13,094,回吐0.9%;昨天逆吐結束三連升的法國CAC最低見6,191,報6,210,續吐0.5%;意大利FTSE MIB及西班牙IBEX 35也結束四連升,最低見22,278及7,832,現報22,347及7,862,回吐1.1%及0.7%;泛歐600報407.09,跌近0.8%。英國富時100報7,018,回吐0.8%。
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