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友邦(01299.HK)吐逾3% 去年少賺96%遠遜預期
阿思達克 03-10 10:56
美股三大指數昨晚在銀行板塊遭拋售及大型科網股疲弱主導全面低開挫近1.7%-2.1%,其中道指三連跌,最多挫逾600點至32,190創四個月低。亞太股市今早無一倖免,主要市場跌1.2%-1.9%。港股四連跌,恆指今早裂口低開344點或1.7%報19,580失守牛熊線,早段曾回升至19,637無以為繼,在科指曾急挫3.7%主導,恆指最多急挫527點或2.6%低見19,398,創逾兩個月低喘定,現報19,487,急挫438點或2.2%,總成交額607億元。 藍籌幾乎全線捱沽,其中友邦(01299.HK)去年少賺96%遠遜預期,但末期股息按年增5%,期內新業務價值降至30.92億美元符預期。該股今早低開0.1%報85.4元欠承接,掉頭跌破10天及20天線(84.95元及84.26元),最低見82.25元,現報82.85元,回吐3.1%,成交778萬股。 友邦公布,去年純利按年急降96%至2.82億美元,遠遜本網綜合8間券商之前預測7.33億至39.56億美元,每股基本營運盈利53.4美仙,末期股息按年增加5%至113.4港仙。期內,總收入按年減約60%至191.1億美元。 至於按實質匯率計,友邦去年新業務價值按年跌8%至30.92億美元,符合本網綜合15間券商預測的中位數30.94億美元;按固定匯率基準計則跌5%。
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