《外圍股市》歐洲主要股市早段普遍回軟 惟富時及西班牙續微升
亞太區股市今天普遍向好,但高位遇壓。日本新首相首份施政演說重申將推刺激措施挽救經濟,日經發力追落後曾急漲2.3%重越28,300之上,收市僅續升1.3%,其餘升幅均少於1%,財新中國9月服務業PMI大幅反彈至53.4意外重現擴張,滬深股市長假後重開由曾升逾1%,收窄至僅續升約0.7%;昨天急漲3.1%的港股在阿里巴巴(09988.HK)續急漲逾半成、匯控(00005.HK)、美團(03690.HK)、騰訊(00700.HK)、平安(02318.HK)及國壽(02628.HK)反覆續升逾1%-4%支撐,由曾續升漲1.5%,收窄至僅反覆升不足0.6%。
美國共和黨同意延長債務上限至12月。道指及標普期貨反覆續微升,但納指一百期貨反覆回吐0.1%。
歐洲主要股市扭轉昨天強勢,早段普遍回軟,德國DAX回吐0.2%報15,213;法國CAC回吐0.2%報6,586;意大利FTSE MIB回吐9點報25,983;泛歐600回吐不足0.3%報457.3;但西班牙IBEX 35續升近0.2%報8,977。英國富時100續升近0.1%報7,084。
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