《亞洲股市》亞太股市反覆升0.2%-0.9% 惟滬深逆市續軟
IMF進一步下調全球今年經濟增長預測0.8個百分點至3.6%,以反映俄烏戰事對全球經濟造成深遠影響;其中將再度爆發疫情的中國今年GDP增長預測下調0.4個百分點至4.4%。美股繼昨晚回升1.5%-2.2%後,期貨全面回軟,奈飛(NFLX.US)首季客量意外逾十年首次淨減20萬個,股價盤後急挫近26%,拖累納指一百期貨曾吐逾1%,現報14,111,回吐近0.8%。
亞太股市除滬深外,全部反覆造好,升幅介乎0.2%-0.9%,已三連升菲股及已三連跌假後復市吉隆坡綜指升幅最大,分別報7,093及1,595,分別續升0.8%及回升0.9%。美元兌日圓今早續升至129.4屢創廿年高終遇阻,掉頭倒跌近0.3%報128.54,日經扭兩連跌,曾回升1.5%高見27,389,現報27,158,回升0.6%。印度孟買終止五連跌,報56,883,回升0.7%。
港股今早在科指和工商分類指數倒升1.5%,以及金融及公用分類指數倒升近0.5%帶動,半日高收21,200,反覆回吐172點或0.8%。
然而,內地一年及五年期LPR利率意外未見下調,分別維持3.7%及4.6%。內房板塊挫3.2%,拖累滬指及深成分別低見3,169及11,496,半日收3,187及11,557,續跌0.2%及0.6%,前者已四連跌。
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