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《瑞通窝轮》瑞通认股证牛熊证恒指见七个月低位腾讯明业绩前续较大市硬净资金留意好仓恒指N类牛52515熊52868/腾讯购19176沽19175/港交购19553沽18817
阿思达克 08-13 10:52

中美贸易关系紧张、阿根廷披索暴泻、十年期国债孳息跌至接近两年期国债孳息等因素影响大市,道指隔晚曾跌462点,收市报25897点,跌389点(或1.5%)。

恒指昨以全日低位25824点收市,跌114点(或0.4%)。今早承接美股跌势,再跌逾200点至25600点之下。恒指好仓(牛证及认购权证)昨净流入近4000万港元(下同),恒指淡仓(熊证及认沽权证)同日净流出逾3300万元,反映投资者预期港股将出现技术性反弹。昨日恒指牛证街货重货区为收回价25300至25399点,而熊证街货重货区为收回价26900至26999点。

腾讯(00700)将於明日公布中期业绩,昨逆市靠稳,收於340元,其港股通昨录得约3亿元北水净买入。不过今早整固,一度考验250天线约335.6元支持。轮证资金流方面,昨有超过1800万元净流入其好仓,淡仓同日则有逾230万元净流出。

近期港股受压,同样於明天公布中期业绩的港交所(00388)近日股价跟随寻底,今早股价跌超过2%,创下233.4元之逾七个月低位,由月初至今,最多累跌12%,跑输其间最多跌8.6%的恒指。目前港交所的股价处於多条移动平均线之下,9天RSI跌至12之极度超卖水平,首个反弹阻力留意250天线(约245元)。昨日有410净流入港交所好仓,另有近315万元净流出其淡仓。

汇控(00005)公布中期业绩後开始连日回购,但同时管理层接连出现调动,兼全球要裁减约2%人手,拖累股价表现。股份昨收跌1.6%,以近全日低位59.05元收市,今早继续寻底,跌逾2%、失守58元。昨分别有148万元和190万元净流入其好仓和淡仓。

银娱(00027)今日公布中期业绩,昨平收於47.05元,结束连续8日跌势。今早在大市气氛转差下,股价挫近3%,跌穿46元,创接近九个月的低位。昨有逾80万元净流入其好仓,淡仓同日则有逾50万元净流出。

恒大(03333)近日发盈警,预期截至今年六月底止,中期净利润约270亿元人民币,按年跌约49%;核心业务净利润按年跌45%。有券商下调股份目标价,但因估值低於同业兼预期股息率高,重申「买入」评级。恒大昨盘中低见18.2元,下挫4.5%,创近9个月低位,其後跌幅收窄至2.2%。今早再度受压,再失18.3元水平,跌幅近2%。股份自七月中旬高见23.6元的一个月高位後,呈反覆向下走势,现已累跌超过两成,14日RSI亦已进入超卖水平。昨有5万元净流入其好仓,淡仓同日则有5万元净流出。

瑞通相关认股证之选择:

腾讯贴价、中短期购19176,行使价:346元,2019年11月到期,实际杠杆:7.6倍

腾讯轻微价外、中短期沽19175,行使价:314.8元,2019年11月到期,实际杠杆:8.2倍

港交轻微价外、中短期购19553,行使价:255元,2019年11月到期,实际杠杆:10.4倍

港交贴价、中短期沽18817,行使价:228元,2019年12月到期,实际杠杆:8.2倍

汇丰轻微价外、中短期购29471,行使价:62.88元,2019年12月到期,实际杠杆:16.2倍

汇丰贴价、中年期沽22469,行使价:55元,2020年3月到期,实际杠杆:7.1倍

银河轻微价外、中短期购19640,行使价:50.88元,2020年1月到期,实际杠杆:6.3倍

银河贴价、中短期沽19642,行使价:44.8元,2019年12月到期,实际杠杆:5.2倍

恒大价外、中短期购19717,行使价:22.8元,2019年12月到期,实际杠杆:6.9倍

瑞通相关牛熊证之选择:

恒指N类牛证52515,收回价及行使价:24820点,杠杆比率:39.7倍

恒指熊证52868,收回价:26290点,杠杆比率:20.7倍

腾讯牛证66534,收回价:326.1元,杠杆比率:24.5倍

腾讯熊证52522,收回价:353.9元,杠杆比率:15.8倍

港交牛证61899,收回价:223.1元,杠杆比率:17.9倍

汇丰牛证68306,收回价:55.1元,杠杆比率:15.2倍重要风险通知

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