《亞洲股市》亞太區股市全面反彈 日經及滬深股市升1.3%-1.9%
俄烏爆發戰爭,俄羅斯盧布兌美元曾貶值一成至近90兌美元歷史新低;俄股一度停市,復市後主要指數暴瀉,其中俄股(RTS)曾暴瀉逾49%低見610創六年低,收742,急挫39%。此外,歐洲主要股市在銀行及汽車遭拋售主導全面挫近2.9%-4.1%,其中DAX曾急挫5.6%低見13,807創近一年低。然而,美股先急跌後倒升,美國總統拜登宣布進一步制裁時,表明無意制裁俄羅斯經濟命脈之一能源業,也暫時不考慮將俄羅斯剔出SWIFT國際支付系統,制裁力度較市場預期溫和,投資者趁低吸納藍籌及大型科網股,刺激相關股倒升逾1.5%-7%,加上季度盈利勝預期兼升盈測的莫德納(MRNA.US)急彈15%,納指由曾挫續挫近3.5%至12,587,轉升3.3%結束五連跌;標指也由曾挫2.6%,轉升1.5%;近三分二藍籌受壓,金融及醫藥護理股沽壓較大,道指由曾瀉859點或2.6%低見32,272,轉升0.3%。
美股期貨全面跌近0.5%-1%,其中道指期貨報32,996,跌160點或0.5%。亞太區股市扭轉昨天急跌頹勢,早段全面反彈。
美元兌日圓於亞洲略回軟報115.47,日經繼昨天假後復市挫1.8%曾低見25,775創逾一年低喘定後,今早扭五連跌,最高見26,419,現報26,377,回升406點或1.6%。
南韓(KOSPI)繼昨天挫2.6%後,今早回升最高見2,694,現報2,670,回升0.8%。新西蘭50指數繼昨天急跌3.3%後,今早回升1.3%報11,889。澳洲200繼昨天挫近3%,今早高見7,045,現報7,006,回升0.2%。新加坡海峽指數繼昨天急挫3.5%後,今早扭三連跌,報3,308,回升1%。吉隆坡綜合指數回升0.9%報1,588。
台灣加權指數繼昨天挫近2.6%後,今早回升至17,737無以為繼,掉頭曾低見17,554,現報17,601,反覆回升6點。
滬指及深成繼昨天回吐1.7%及2.2%後,今早高開近0.5%及1%分別報3,445及13,383,升幅擴至1.3%及1.9%,分別報3,473及13,502。
本港1月商品出口額及進口額按年升幅分別進一步放緩至18.4%及9.6%(前值升24.8%及19.3%);期內有形貿易順差66億元。港股繼昨天在金融、新經濟及內需股遭拋售主導挫758點或3.2%後,今早在騰訊(00700.HK)、美團(03690.HK)、比亞迪(01211.HK)、京東(09618.HK)、阿里巴巴(09988.HK)、網易(09999.HK)和藥明生物(02269.HK)高開逾1%-4%,抵銷友邦(01299.HK)與匯控(00005.HK)低開1.8%和3.5%,恆指高開6點報22,908,最高見23,046,現報22,979,回升78點或0.3%。
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