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《滬深兩市》 A股三大指數升0.2%-0.7% 金融股偏好 電訊股回軟
人民銀行今日(15日)進行4,810億元人民幣(下同)一年期MLF操作,操作利率持平於2.75%。本月有2,000億元MLF到期。同日,進行1,040億元7天期逆回購操作,中標利率持平於2%。今日有40億元逆回購到期,單日淨投放1,000億元。 美匯弱勢,人民幣兌美元中間價今再上調269點。內地首兩個月固投增長勝預期,消費品零售增長符預期。A股三大指數高開後維持偏好。 滬指半日收報3,267點,升0.7%,成交額2,324億元。 深成指收報11,466點,升0.4%,成交額2,868億元。 創業板指收報2,348點,升0.2%,成交額1,197億元。 中資金融股偏好,工行(601398.SH)及建行(601939.SH)半日分別升0.7%及1.5%。 電訊股偏軟,中電信(601728.SH)、聯通(600050.SH)及中移動(600941.SH)各跌逾2%。 國際油價持續回落,石油股走個別,中海油(600938.SH)跌0.8%。中石化(600028.SH)及中石油(601857.SH)分別升0.2%及1.3%。 寧德時代(300750.SZ)與福特合作再遭美參議員反對,股價高開低走跌0.3%。比亞迪(002594.SZ)亦跌0.6%。(ta/s) ~
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