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《瑞通窩輪》瑞通認股證牛熊證恆指見七個月低位騰訊明業績前續較大市硬淨資金留意好倉恆指N類牛52515熊52868/騰訊購19176沽19175/港交購19553沽18817
阿思達克 08-13 10:52

中美貿易關係緊張、阿根廷披索暴瀉、十年期國債孳息跌至接近兩年期國債孳息等因素影響大市,道指隔晚曾跌462點,收市報25897點,跌389點(或1.5%)。

恆指昨以全日低位25824點收市,跌114點(或0.4%)。今早承接美股跌勢,再跌逾200點至25600點之下。恆指好倉(牛證及認購權證)昨淨流入近4000萬港元(下同),恆指淡倉(熊證及認沽權證)同日淨流出逾3300萬元,反映投資者預期港股將出現技術性反彈。昨日恆指牛證街貨重貨區為收回價25300至25399點,而熊證街貨重貨區為收回價26900至26999點。

騰訊(00700)將於明日公布中期業績,昨逆市靠穩,收於340元,其港股通昨錄得約3億元北水淨買入。不過今早整固,一度考驗250天線約335.6元支持。輪證資金流方面,昨有超過1800萬元淨流入其好倉,淡倉同日則有逾230萬元淨流出。

近期港股受壓,同樣於明天公布中期業績的港交所(00388)近日股價跟隨尋底,今早股價跌超過2%,創下233.4元之逾七個月低位,由月初至今,最多累跌12%,跑輸其間最多跌8.6%的恆指。目前港交所的股價處於多條移動平均線之下,9天RSI跌至12之極度超賣水平,首個反彈阻力留意250天線(約245元)。昨日有410淨流入港交所好倉,另有近315萬元淨流出其淡倉。

匯控(00005)公布中期業績後開始連日回購,但同時管理層接連出現調動,兼全球要裁減約2%人手,拖累股價表現。股份昨收跌1.6%,以近全日低位59.05元收市,今早繼續尋底,跌逾2%、失守58元。昨分別有148萬元和190萬元淨流入其好倉和淡倉。

銀娛(00027)今日公布中期業績,昨平收於47.05元,結束連續8日跌勢。今早在大市氣氛轉差下,股價挫近3%,跌穿46元,創接近九個月的低位。昨有逾80萬元淨流入其好倉,淡倉同日則有逾50萬元淨流出。

恆大(03333)近日發盈警,預期截至今年六月底止,中期淨利潤約270億元人民幣,按年跌約49%;核心業務淨利潤按年跌45%。有券商下調股份目標價,但因估值低於同業兼預期股息率高,重申「買入」評級。恆大昨盤中低見18.2元,下挫4.5%,創近9個月低位,其後跌幅收窄至2.2%。今早再度受壓,再失18.3元水平,跌幅近2%。股份自七月中旬高見23.6元的一個月高位後,呈反覆向下走勢,現已累跌超過兩成,14日RSI亦已進入超賣水平。昨有5萬元淨流入其好倉,淡倉同日則有5萬元淨流出。

瑞通相關認股證之選擇:

騰訊貼價、中短期購19176,行使價:346元,2019年11月到期,實際槓桿:7.6倍

騰訊輕微價外、中短期沽19175,行使價:314.8元,2019年11月到期,實際槓桿:8.2倍

港交輕微價外、中短期購19553,行使價:255元,2019年11月到期,實際槓桿:10.4倍

港交貼價、中短期沽18817,行使價:228元,2019年12月到期,實際槓桿:8.2倍

匯豐輕微價外、中短期購29471,行使價:62.88元,2019年12月到期,實際槓桿:16.2倍

匯豐貼價、中年期沽22469,行使價:55元,2020年3月到期,實際槓桿:7.1倍

銀河輕微價外、中短期購19640,行使價:50.88元,2020年1月到期,實際槓桿:6.3倍

銀河貼價、中短期沽19642,行使價:44.8元,2019年12月到期,實際槓桿:5.2倍

恆大價外、中短期購19717,行使價:22.8元,2019年12月到期,實際槓桿:6.9倍

瑞通相關牛熊證之選擇:

恆指N類牛證52515,收回價及行使價:24820點,槓桿比率:39.7倍

恆指熊證52868,收回價:26290點,槓桿比率:20.7倍

騰訊牛證66534,收回價:326.1元,槓桿比率:24.5倍

騰訊熊證52522,收回價:353.9元,槓桿比率:15.8倍

港交牛證61899,收回價:223.1元,槓桿比率:17.9倍

匯豐牛證68306,收回價:55.1元,槓桿比率:15.2倍重要風險通知

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閣下投資前應了解產品風險,如有需要應諮詢專業建議。~重要聲明:

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