《亞洲股市》港韓台股跌1.3%至1.5% 越南反彈0.6%
美國1月通脹及核心通脹年率降溫速度不及預期,市場預期聯儲局仍會繼續加息。美股期貨全面跌0.3%至0.6%。亞太區主要股市今天(15日)除越南反彈0.6%報1,045結束四連跌外,普遍受壓,尤其是南韓(KOSPI)及台灣加權指數回吐1.3%及1.5%,現報2,433及15,422;澳洲200回吐1%,曾低見7,337。
新加坡海峽時報指數三連跌,最低見3,271,現報3,288,續跌0.9%。印尼雅加達綜指扭兩連升,報6,881,吐近0.9%。日經現報27,488,反覆回吐113點或0.4%。印度孟買指數繼昨天回升1%結束兩連軟後,今早回吐0.4%報60,800。滬指及深成半日收3,282及12,073,反覆微跌0.3%及0.2%。
港元觸及弱方兌換保證,金管局連續兩天入市,今早於紐約時段承接148.68億港元沽盤,明天(16日)本港銀行體系結餘將降至770.05億港元。港股四連跌,恆指今早曾挫386點低見20,726,半日收20,840,續跌272點或1.3%。藍籌股普遍跌逾1%至2%;出口股創科(00669.HK)更回吐5.5%;國壽(02628.HK)、海爾智家(06690.HK)、安踏(02020.HK)、東方海外(00316.HK)、中海外(00688.HK)、碧桂園(02007.HK)及碧服(06098.HK)亦跌逾3%。
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