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《亞洲股市》中港澳日股回升0.5%-1%
美股反覆四連跌,美國1月貿赤屢創紀錄高超預期及3月IBD經濟樂觀指數意外續降至近八年半低,加上美國總統拜登宣佈禁止俄羅斯油氣產品進口,刺激油價續漲至逾13年半高,投資者繼續評估油價飆升帶來的影響,逾三分二藍籌反覆受壓,但雪佛龍(CVX.US)續漲逾半成屢創紀錄高,工業股也造好,尤其是獲券商升級至「買入」卡特彼勒續漲6.8%,道指反覆(上下波幅逾800點)續跌184點或不足0.6%收32,632;亞馬遜和奈飛及藍籌科技股全部受壓,拖累標指及納指反覆續跌0.7%及0.3%。此外,法德及泛歐600也反覆續軟,但富時反覆回升4點,西班牙及意股更反覆逆彈1.8%及0.8%。 美股期貨全面回升0.2%-0.3%,道指期貨報32,714,回升112點或0.3%。亞太區股市早段普遍反彈。美元兌日圓於亞洲續升0.2%報115.87,日經扭三連挫,今早由16個月低位反彈,報25,043,回升252點或1%。 臺灣加權指數繼昨天挫2.1%,今早扭三連挫,報16,993,回升1%。澳洲200扭三連跌,報7,042,回升0.9%。新西蘭50指數扭三連跌,報11,772,回升0.2%。新加坡海峽指數扭三連跌,報3,162,回升0.4%。 港股三連跌屢創逾五年半低後,今早在匯控(00005.HK)、比亞迪(01211.HK)、美團(03690.HK)、申洲(02313.HK)及信義光能(00968.HK)高開近1.7%-5%帶動,恆指高開54點或近0.3%,報20,820,在友邦(01299.HK)跌逾1%等拖累,曾倒跌低見20,763,現報20,939,回升173點或0.8%。 滬指及深成繼昨天挫2.4%及2.6%,今早扭五連跌均高開0.3%,報3,303及12,282,曾倒跌低見3,277及12,134,現報3,311及12,303,回升0.5%。然而,吉隆坡綜合指數繼昨天挫2%三連跌後,今早仍逆軟報1,545。
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