《外圍股市》美股期貨全面反覆回穩 歐洲主要股市早段普遍回軟
再有聯儲局官員發表「鷹派」,債息上升,市場憂慮聯儲局會持續加息。亞太股市今天個別發展,日經、新西蘭、馬來西亞及菲股逆升0.3%-0.7%。餘下市場全部受壓,尤其是港股蒸發昨天急彈340點所有升幅有餘,恆指在科指急吐4.6%拖累,曾低見21,157,收21,190,急吐433點或2%。藍籌股普遍捱沽,騰訊(00700.HK)、阿里(09988.HK)、美團(03690.HK)、網易(09999.HK)、遭巴郡再減持比亞迪(01211.HK)、上季少賺28%中芯(00981.HK)、申洲(02313.HK)、安踏(02020.HK)、上季付運數據疲弱的舜宇(02382.HK)、京東(09618.HK)、碧服(06098.HK)及百度(09888.HK)挫逾3%-7%。
美股三大指數繼昨天反覆續跌0.7%-1%後,期貨全面反覆微彈不足0.1%,道指期貨報33,760,反覆微彈26點;標普五百期貨及納指一百期貨報4,094及12,436,反覆微彈3點及11點。
歐洲主要股市早段全面回軟,英國富時終止連日創紀錄高強勢,報7,885,回吐0.3%。德國DAX由逾一年高位回吐0.3%報15,479;法國CAC回吐0.3%報7,169;西班牙IBEX 35由逾一半年高位回吐0.6%報9,190;泛歐600由十個月高位回吐0.5%報459.87;但昨天創逾一年高的意大利FTSE MIB反覆逆升17點報27,522。
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